Fundamental Equity Analysis - Hang Seng Index - HSI Index

Page 1

This material does not constitute investment advice and should not be viewed as a current or past recommendation or a solicitation of an offer to buy or sell any securities or to adopt any investment strategy.

Fundamental Analysis & Analyst Recommendations Hang Seng Index - HSI Index March 2012

Q M S Advisors .

.

Q.M.S Advisors | Avenue de la Gare, 1 1003 Lausanne | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


Valuation Measures I/II Market Capitalization & Asset Liability data Market Total Capitalization (in mio Daily Common Total Debt Preferred Currency USD) Volume (M) Shares (M) (USD) Stock (USD)

Minority Interest (USD)

Total Revenue Cash and Enterprise Equivalents Value (USD) (USD)

Tot. Rev. LFY

Est. Tot. Rev. - Tr. 12M

EBITDA

Earnings Per Share

Est. Tot. Est. Tot. Est. EBITDA - Est. EBITDA - Est. EBITDA Rev. - 2013 Rev. - 2014 EBITDA - LFY Tr. 12M 2013 2014 EPS - LFY

Price/Earnings ratio

Est. EPS Tr. 12M

Est. EPS 2013

Est. EPS 2014

P/E Ratio LFY

Est. P/E Ratio - Tr. 12M

Rev. Growth

EBITDA Growth

Est. Est. Est. Est. Est. P/E Est. P/E Revenue Revenue Est. EBITDA EBITDA Est. EBITDA Ratio - 2013 Ratio - 2014 Growth - 1Y Growth - 5Y Growth - 1Y Growth - 5Y Margin -

S&P LT Credit Rating -

S&P LT Credit Rating Date

Moody's LT Credit Moody's LT Credit Rating Rating Date

S&P 500 INDEX

USD

13796097

1881.182

1118

1118

203

220

220

101.36

110.70

110.70

14.77

14.77

13.52

13.52

18.65

Euro Stoxx 50 Pr

EUR

2485811

5508.826

4743

4743

765

807

807

178.22

316.43

316.43

24.81

16.23

13.97

13.97

20.09

NIKKEI 225

JPY

2454594

179.6827

193

193

20

20

20

5.41

5.75

5.75

0.25

0.25

0.23

0.23

0.12

FTSE 100 INDEX

GBP

2640656

11486.18

9502

9502

1464

1671

1671

539.36

822.83

822.83

26.64

21.89

17.46

17.46

23.67

SWISS MARKET INDEX

CHF

1010821

10856.93

4148

4148

866

849

849

386.33

561.01

561.01

22.31

18.92

15.36

15.36

22.67

S&P/TSX COMPOSITE INDEX

CAD

1660391

16874.34

7864

7864

1870

2103

2103

796.18

889.64

889.64

15.12

15.12

13.53

13.53

24.69

S&P/ASX 200 INDEX

AUD

1382151

6594.27

2837

2837

586

687

687

245.88

337.81

337.81

21.36

16.54

15.55

15.55

21.80

HANG SENG INDEX

HKD

1695636

3343.065

1611

1611

360

406

406

251.95

265.89

265.89

1.49

1.57

1.41

1.41

3.13

MSCI EM

USD

7809343

1437.116

1033

1033

195

197

197

86.01

99.96

99.96

12.12

3.47

10.43

10.43

19.76

AIA GROUP LTD

HKD

0

0

0

6.35

2628

2628

2780

3136

-

-

-

-

0.02

0.03

0.03

0.03

2.17

-

2.28

2.03

5.38

-

-

-

-

-

-

ALUMINUM CORP OF CHINA LTD-H

HKD

9124

15843

13524

10

0

1

2

19.29

18758

18923

18701

19455

1172

-

209

209

0.00

-0.05

-0.05

-0.03

-

-

#VALUE!

#VALUE!

2.61

2.18

-0.81

-2.01

-

-

-

-

BANK OF CHINA LTD-H

HKD

131838

401756

279136

247

0

4

403

#VALUE!

66275

74536

46414

50293

-

-

-

-

0.06

0.06

0.06

0.06

0.79

-

0.78

0.76

3.88

2.34

-

-

-

A

29.11.2011

-

-

BANK OF COMMUNICATIONS CO-H

HKD

57524

29952

61886

122

0

0

152

#VALUE!

28198

32468

18913

20635

-

-

-

-

0.11

0.12

0.11

0.10

0.69

-

0.75

0.77

4.29

3.33

-

-

-

A-

06.12.2011

WR

02.12.1999

BANK OF EAST ASIA

HKD

9058

5168

2227

7

0

1

18

#VALUE!

3721

3721

2017

2202

-

-

-

-

-0.04

0.37

0.29

0.31

1.41

-

1.83

1.70

1.94

0.85

-

-

-

A

01.12.2011

WR

19.07.2003

BELLE INTERNATIONAL HOLDINGS

HKD

15482

30663

8434

0

0

0

1

11.76

3731

4006

4298

5031

778

830

461

461

0.07

0.07

0.07

0.08

2.77

2.76

2.79

2.38

2.85

3.43

3.87

4.81

2.67

-

-

-

-

BOC HONG KONG HOLDINGS LTD

HKD

34549

19632

10573

35

0

0

54

#VALUE!

6532

6897

4605

5063

-

-

-

-

0.23

0.24

0.25

0.26

1.76

1.91

1.69

1.60

2.34

0.51

-

-

-

-

-

-

-

CATHAY PACIFIC AIRWAYS

HKD

7373

3595

3934

6

0

0

3

11.99

12685

12952

12645

13628

1474

1808

600

600

0.19

0.06

0.02

0.09

4.20

3.62

11.22

2.57

1.28

1.20

-3.72

0.70

1.80

-

-

-

-

CHEUNG KONG HOLDINGS LTD

HKD

35619

3463

2316

6

0

1

3

39.31

4250

2953

4097

5041

1434

1163

-

-

-

1.57

1.35

1.52

1.26

-

1.47

1.31

4.83

6.14

4.30

1.94

5.08

NR

28.12.2011

-

-

CHINA COAL ENERGY CO-H

HKD

14854

29142

13259

4

0

2

4

15.78

11314

11784

11484

12593

2401

2347

-

-

0.10

0.09

0.08

0.09

1.07

1.06

1.16

1.12

3.20

3.21

3.42

3.24

2.57

-

-

-

-

CHINA CONSTRUCTION BANK-H

HKD

198659

233371

250011

156

0

1

357

#VALUE!

74190

87997

58775

63841

-

-

-

-

0.09

0.10

0.10

0.10

0.84

-

0.83

0.80

3.60

2.10

-

-

-

A

29.11.2011

-

-

CHINA LIFE INSURANCE CO-H

HKD

83521

30833

28265

6

0

0

7

#VALUE!

47741

45351

47115

52606

-

-

-

-

0.08

0.07

0.07

0.13

4.44

4.44

4.57

2.25

-0.50

2.64

-

-

-

AA-

16.12.2010

-

-

CHINA MERCHANTS HLDGS INTL

HKD

8672

2320

2474

3

0

1

1

12.09

1K

1K

1K

1K

551

564

-

-

0.27

0.18

0.19

0.22

2.53

-

2.35

2.04

8.12

2.51

4.48

4.30

5.60

BBB

17.02.2005

-

-

CHINA MOBILE LTD

HKD

220111

13757

20072

4

0

0

43

129.98

68062

70183

72386

76937

33155

33013

8169

8169

0.83

0.81

0.80

0.80

1.39

-

1.41

1.41

1.14

1.28

0.82

1.23

6.06

AA-

16.12.2010

WR

03.11.2005

CHINA OVERSEAS LAND & INVEST

HKD

24019

26170

8173

6

0

0

2

27.45

6263

6701

8562

10350

2452

2591

-

-

0.24

0.26

0.24

0.29

1.45

-

1.55

1.30

1.24

5.77

2.23

5.86

4.98

BBB

25.03.2010

-

-

CHINA PETROLEUM & CHEMICAL-H

HKD

101834

126479

86703

31

0

5

3

121.29

317594

331841

328445

343778

22038

20229

-

-

0.11

0.08

0.09

0.11

1.39

-

1.30

1.07

4.03

3.11

-0.52

1.20

0.79

A+

16.12.2010

-

-

CHINA RESOURCES ENTERPRISE

HKD

7726

1998

2399

2

0

2

2

9.14

14201

15584

16633

19662

918

968

-

-

0.10

0.19

0.12

0.13

2.21

3.48

3.56

3.10

3.48

2.80

1.51

1.90

0.80

-

-

-

-

CHINA RESOURCES LAND LTD

HKD

16413

6780

5826

8

0

1

2

23.16

4614

4645

5937

7483

1537

1593

-

-

0.19

0.19

0.16

0.19

1.95

-

2.28

1.90

5.04

8.15

4.42

8.40

4.42

BBB

03.05.2011

Baa2

03.05.2011

CHINA RESOURCES POWER HOLDIN

HKD

12812

5964

4745

11

0

2

1

24.99

7826

8072

8378

9530

1759

1922

-

-

0.12

0.14

0.19

0.24

2.56

-

1.86

1.46

3.22

4.99

1.98

4.16

3.07

BBB

19.04.2011

Baa3

14.09.2010

CHINA SHENHUA ENERGY CO-H

HKD

72035

24516

19890

8

0

5

8

63.05

26838

29516

30339

32988

10863

11191

-

-

0.30

0.32

0.31

0.32

1.17

1.17

1.24

1.19

4.13

3.44

2.16

2.55

4.89

-

-

-

-

CHINA UNICOM HONG KONG LTD

HKD

33293

26310

23565

14

0

0

2

39.79

26963

29578

32416

37173

8249

8773

2376

2376

0.02

0.03

0.04

0.06

5.15

-

3.88

2.44

2.84

4.79

0.78

1.85

3.82

-

-

-

-

CITIC PACIFIC LTD

HKD

5212

6772

3649

13

0

2

4

16.81

12902

13415

13193

14973

1217

1094

-

-

-

0.31

0.19

0.17

0.60

-

0.95

1.08

5.38

3.42

5.40

0.56

1.05

BB+

18.07.2011

Ba1

06.04.2011

CLP HOLDINGS LTD

HKD

21674

5533

2526

12

0

0

2

32.02

13517

13517

13461

14301

2859

3287

2965

2965

0.50

0.44

0.56

0.59

2.49

2.35

1.97

1.87

1.86

2.54

0.65

0.92

3.13

A-

02.03.2011

-

-

CNOOC LTD

HKD

86212

47861

44659

5

0

0

13

61.41

31059

30247

30514

31438

15345

14694

-

-

0.20

0.18

0.19

0.18

1.11

-

1.06

1.09

4.36

4.45

2.77

2.43

6.26

AA-

16.12.2010

-

-

COSCO PACIFIC LTD

HKD

4367

5701

2712

0

0

0

0

0.81

77

89

94

104

41

47

-

-

0.02

0.02

0.02

0.02

1.66

-

1.53

1.37

4.41

2.71

5.78

0.89

6.83

-

-

-

-

ESPRIT HOLDINGS LTD

HKD

2525

17959

1402

0

0

0

0

1.88

3888

3483

3472

3661

238

115

36

36

0.09

-0.01

-0.01

0.04

-

-

#VALUE!

4.52

-1.38

-0.74

-2.67

-2.99

0.42

-

-

-

-

HANG LUNG PROPERTIES LTD

HKD

16965

6179

4477

4

0

1

5

16.93

950

950

1458

1647

941

941

-

-

0.24

0.24

0.18

0.21

2.03

-

2.66

2.37

5.51

0.75

12.48

3.12

12.76

-

-

-

-

HANG SENG BANK LTD

HKD

30461

1419

1912

7

0

0

20

#VALUE!

5079

5345

3154

3478

-

-

-

-

-

1.21

1.19

1.36

1.70

-

1.73

1.51

0.61

-0.30

-

-

-

AA-

29.11.2011

-

-

HENDERSON LAND DEVELOPMENT

HKD

16638

3006

2369

7

0

1

2

21.92

1958

1513

1959

2645

558

419

-

-

-

0.88

0.40

0.42

1.01

-

2.25

2.12

14.72

8.86

34.01

1.47

3.57

NR

06.07.2005

-

-

HENGAN INTL GROUP CO LTD

HKD

12405

2094

1229

1

0

0

1

12.68

2198

2308

2517

3059

459

573

-

-

0.28

0.32

0.37

0.44

4.01

-

3.55

2.97

3.47

3.52

1.43

3.54

3.20

-

-

-

-

HONG KONG & CHINA GAS

HKD

24086

5802

8691

4

0

1

2

27.22

2891

3157

3358

3789

914

963

521

521

0.09

0.10

0.11

0.11

3.42

3.45

3.39

3.17

2.03

2.47

2.72

0.74

3.93

A+

23.07.2008

A1

23.07.2008

HONG KONG EXCHANGES & CLEAR

HKD

20424

6483

1078

0

0

0

6

14.48

771

771

1142

1266

736

663

-

-

0.58

0.48

0.61

0.66

4.72

4.29

3.78

3.46

-1.66

-0.69

-

2.40

10.18

-

-

-

-

HSBC HOLDINGS PLC

HKD

200110

14041

17868

35

0

1

35

#VALUE!

12220

10740

8786

9005

-

-

-

-

0.10

0.09

0.11

0.13

1.90

-

1.58

1.40

0.51

-

-

-

-

A+

29.11.2011

Aa3

21.06.2012

HUTCHISON WHAMPOA LTD

HKD

44845

9348

4263

29

0

5

9

70.57

30125

30563

30788

33174

4460

4662

-

-

0.61

0.60

0.69

0.81

2.25

1.91

1.96

1.68

1.51

0.53

-0.37

0.00

1.97

A-

09.11.2010

A3

29.10.2010

IND & COMM BK OF CHINA-H

HKD

236846

226481

349084

248

0

0

463

#VALUE!

90799

101755

68637

75077

-

-

-

-

0.08

0.08

0.09

0.09

0.89

-

0.85

0.81

3.80

2.45

-

-

-

A

28.08.2012

-

-

LI & FUNG LTD

HKD

11315

12909

8104

0

0

0

0

1.69

2582

2624

2692

2942

136

136

62

62

0.01

0.01

0.01

0.01

1.87

-

2.81

2.13

3.27

1.82

2.73

3.53

0.67

15.01.2013

A3

10.05.2007

MTR CORP

HKD

23565

2300

5785

4

0

0

2

25.34

4308

4435

4581

4817

2533

2481

-

-

0.33

0.28

0.20

0.21

1.88

-

2.58

2.55

1.71

4.15

4.04

1.60

7.21

AAA

16.12.2010

Aa1

11.11.2010

NEW WORLD DEVELOPMENT

HKD

11108

24260

6151

11

0

4

4

22.97

4592

5282

5795

6163

1394

1394

-

-

0.26

0.31

0.14

0.16

0.73

-

1.62

1.45

1.07

1.86

5.57

5.46

3.91

-

-

-

-

PETROCHINA CO LTD-H

HKD

261712

62814

183021

41

0

10

8

263.92

258307

270478

266899

284987

41684

41812

11006

11006

0.10

0.09

0.08

0.10

1.54

1.51

1.66

1.43

4.74

3.34

0.84

0.57

1.99

-

-

-

-

PING AN INSURANCE GROUP CO-H

HKD

60503

12061

7916

42

0

5

12

82.61

35150

41184

41730

49563

-

-

-

-

0.32

0.34

0.37

0.47

2.53

-

2.32

1.80

5.13

2.86

-

-

-

-

-

-

-

POWER ASSETS HOLDINGS LTD

HKD

18887

5004

2134

3

0

0

1

21.29

1315

1343

1365

1395

854

860

502

502

0.55

0.56

0.58

0.61

2.02

2.01

1.97

1.88

-0.21

-0.39

-1.42

-0.82

8.25

A+

09.11.2010

-

-

SINO LAND CO

HKD

10445

7879

5912

1

0

0

1

11.10

1082

1082

916

1492

520

520

-

-

0.21

0.22

0.14

0.13

1.04

-

1.67

1.76

5.32

0.22

4.29

0.54

6.19

-

-

-

SUN HUNG KAI PROPERTIES

HKD

40757

4074

2616

9

0

1

2

48.57

8817

8817

8205

8901

3395

3395

-

-

2.14

2.14

1.07

1.12

0.92

-

1.85

1.77

1.20

2.39

2.28

2.19

4.96

A+

15.06.2012

-

-

SWIRE PACIFIC LTD-A

HKD

18858

1232

1505

5

0

1

1

29.50

4677

4975

5442

5761

1302

1336

-

-

2.77

1.43

0.81

0.81

1.15

1.12

2.02

2.02

3.13

1.79

1.50

1.69

3.46

A-

16.08.2005

A3

19.07.2000

TENCENT HOLDINGS LTD

HKD

63141

3480

1822

2

0

0

3

48.87

3673

5113

5641

7279

1722

2162

617

617

0.71

0.84

0.91

1.15

4.22

-

3.86

3.06

5.81

8.01

3.69

7.79

5.45

BBB+

14.11.2011

Baa1

14.11.2011

TINGYI (CAYMAN ISLN) HLDG CO

HKD

14745

11091

5590

0

0

0

0

2.03

1014

1160

1238

1465

116

155

-

-

0.01

0.01

0.01

0.01

3.80

-

4.09

3.24

2.29

3.19

-0.92

2.58

1.72

BBB+

05.06.2012

-

-

WANT WANT CHINA HOLDINGS LTD

HKD

18177

14986

13220

0

0

0

0

2.31

380

412

455

555

77

95

-

-

0.00

0.00

0.01

0.01

4.84

-

4.32

3.47

4.03

3.20

2.42

3.27

2.98

-

-

-

-

WHARF HOLDINGS LTD

HKD

25811

4125

3029

10

0

1

4

33.68

3094

4191

4139

4244

1598

2018

-

-

1.36

1.70

0.45

0.48

0.65

-

2.42

2.28

3.08

2.60

2.12

1.41

6.21

NR

22.06.2010

-

-

51001

94654

12044

1

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

-

A-

*-

-

-


Valuation Measures II/II Price to Book Ratio

Price to Sales Ratio

Price to Cash Flow Ratio

Enterprise Value to EBITDA Ratio

Price to Earnings Ratio

Estimated Dividend Yield

Target

2013

2014

2015

2016

2017

2013

2014

2015

2016

2017

2013

2014

2015

2016

2017

2013

2014

2015

2016

2017

2013

2014

2015

2016

2017

2013

2014

2015

2016

2017

2013

%D to Spot

S&P 500 INDEX

2.08

2.08

1.90

1.71

2.08

1.34

1.34

1.28

1.22

1.34

9.54

9.54

9.28

8.52

9.54

8.55

8.55

7.89

7.38

8.55

13.52

13.52

12.13

10.97

13.52

2.30

2.30

2.46

2.66

2.30

1660.6

10.9%

Euro Stoxx 50 Pr

1.10

1.10

1.04

0.97

1.10

0.71

0.71

0.69

0.67

0.71

5.22

5.22

4.83

4.59

5.22

6.83

6.83

6.46

6.12

6.83

10.68

10.68

9.55

8.75

10.68

4.44

4.44

4.79

5.10

4.44

2885.3

11.7%

NIKKEI 225

1.36

1.36

1.28

1.20

1.36

0.64

0.64

0.60

0.59

0.64

8.49

8.49

7.37

6.87

8.49

8.91

8.91

7.82

7.34

8.91

21.36

21.36

17.18

13.31

21.36

1.83

1.83

1.83

2.13

1.83

11390.2

1.2%

FTSE 100 INDEX

1.64

1.64

1.52

1.28

1.64

1.00

1.00

0.97

0.98

1.00

7.75

7.75

7.14

5.87

7.75

6.87

6.87

6.43

6.07

6.87

11.56

11.56

10.49

9.60

11.56

3.95

3.95

4.26

4.86

3.95

6681.0

6.2%

SWISS MARKET INDEX

2.30

2.30

2.14

1.96

2.30

1.94

1.94

1.84

1.76

1.94

11.81

11.81

10.81

9.76

11.81

12.78

12.78

11.85

11.07

12.78

14.31

14.31

12.84

11.67

14.31

3.37

3.37

3.74

4.23

3.37

7909.1

5.8%

S&P/TSX COMPOSITE INDEX

1.67

1.67

1.54

1.45

1.67

1.57

1.57

1.47

1.40

1.57

8.30

8.30

7.48

7.08

8.30

8.03

8.03

7.09

6.79

8.03

13.88

13.88

12.20

11.33

13.88

3.12

3.12

3.27

3.46

3.12

14410.3

13.8%

S&P/ASX 200 INDEX

1.90

1.90

1.80

1.69

1.90

1.81

1.81

1.70

1.62

1.81

11.16

11.16

10.02

9.09

11.16

9.60

9.60

8.46

7.81

9.60

15.22

15.22

13.55

12.48

15.22

4.33

4.33

4.66

5.02

4.33

5092.5

1.1%

HANG SENG INDEX

1.35

1.35

1.24

1.18

1.35

1.81

1.81

1.67

1.51

1.81

7.24

7.24

6.69

6.27

7.24

8.23

8.23

7.48

7.01

8.23

10.95

10.95

9.95

9.17

10.95

3.50

3.50

3.82

4.66

3.50

24971.6

10.6%

MSCI EM

1.41

1.41

1.28

1.19

1.41

1.01

1.01

0.94

0.89

1.01

6.48

6.48

5.96

5.56

6.48

7.29

7.29

6.65

6.27

7.29

10.43

10.43

9.34

8.63

10.43

2.94

2.94

3.29

3.62

2.94

1192.6

14.4%

AIA GROUP LTD

2.16

1.94

1.77

1.49

2.66

2.36

2.10

19.51

17.72

15.74

13.23

1.23

1.35

1.53

1.18

35.47

8.0%

ALUMINUM CORP OF CHINA LTD-H

0.68

0.76

0.81

0.84

0.42

0.39

0.38

0.37

0.35

6.26

11.22

9.33

8.41

44.15

0.34

0.00

0.00

0.15

2.72

-17.7%

BANK OF CHINA LTD-H

1.10

0.98

0.88

0.79

2.50

2.28

2.10

1.91

1.59

4.19

4.01

3.85

3.65

6.61

6.05

5.91

5.50

4.71

5.37

5.65

5.69

6.07

7.02

4.14

16.6%

BANK OF COMMUNICATIONS CO-H

1.10

0.94

0.83

0.75

2.80

2.44

2.24

2.00

1.67

3.55

3.66

3.72

3.55

5.94

5.80

6.00

5.63

5.47

3.61

3.59

3.97

4.33

5.46

6.56

10.7%

BANK OF EAST ASIA

1.26

1.18

1.12

1.04

4.86

4.49

4.11

3.66

13.66

12.57

12.00

10.77

14.27

14.19

13.18

11.70

3.23

3.15

3.33

3.66

BELLE INTERNATIONAL HOLDINGS

5.04

4.26

3.66

3.14

2.69

3.27

2.89

2.47

2.16

1.77

22.54

20.56

18.23

15.72

22.77

21.61

18.44

15.79

13.45

1.57

1.46

1.70

1.92

BOC HONG KONG HOLDINGS LTD

2.11

1.90

1.79

1.68

1.60

8.30

7.50

6.82

6.23

5.84

11.52

12.68

12.55

11.68

10.80

CATHAY PACIFIC AIRWAYS

1.00

1.02

0.98

0.93

0.59

0.58

0.54

0.50

4.70

8.66

5.24

CHEUNG KONG HOLDINGS LTD

0.92

0.84

0.79

0.74

7.40

8.69

7.07

6.22

19.70

CHINA COAL ENERGY CO-H

0.96

0.88

0.82

0.76

1.08

1.04

0.95

0.85

0.73

5.07

CHINA CONSTRUCTION BANK-H

1.53

1.32

1.15

1.02

3.09

2.71

2.50

2.24

1.94

4.82

CHINA LIFE INSURANCE CO-H

2.60

2.40

2.13

1.90

1.47

1.44

1.42

1.27

1.16

CHINA MERCHANTS HLDGS INTL

1.57

1.48

1.40

1.34

1.27

8.47

7.08

6.94

6.38

7.99

12.68

9.98

12.97

11.07

CHINA MOBILE LTD

2.12

1.90

1.73

1.59

1.44

2.61

2.44

2.30

2.16

1.98

6.00

6.05

5.96

5.64

CHINA OVERSEAS LAND & INVEST

2.87

2.24

1.91

1.64

3.28

2.81

2.32

1.94

12.50

7.91

5.56

4.77

CHINA PETROLEUM & CHEMICAL-H

1.29

1.16

1.07

0.98

0.90

0.27

0.25

0.24

0.23

0.19

4.23

4.16

3.80

3.58

CHINA RESOURCES ENTERPRISE

1.86

1.56

1.49

1.41

1.38

0.55

0.46

0.39

0.34

0.27

6.99

8.27

6.45

7.17

CHINA RESOURCES LAND LTD

2.29

1.86

1.66

1.49

3.90

2.76

2.19

1.78

16.53

9.83

8.90

CHINA RESOURCES POWER HOLDIN

2.11

1.84

1.65

1.47

1.28

1.64

1.53

1.34

1.21

1.13

7.17

6.94

5.56

4.90

CHINA SHENHUA ENERGY CO-H

1.97

1.77

1.57

1.41

1.33

2.20

1.91

1.75

1.64

1.36

6.78

6.74

5.97

5.62

CHINA UNICOM HONG KONG LTD

1.00

0.98

0.94

0.90

0.85

0.98

0.82

0.72

0.65

0.56

2.89

3.25

2.44

2.23

CITIC PACIFIC LTD

0.53

0.49

0.47

0.44

0.46

0.40

0.35

0.30

4.26

9.08

5.50

CLP HOLDINGS LTD

1.88

1.79

1.71

1.61

1.76

1.61

1.52

1.45

1.35

8.85

8.96

CNOOC LTD

2.04

1.72

1.50

1.32

1.20

2.33

2.27

2.20

1.97

2.10

5.35

5.55

COSCO PACIFIC LTD

1.19

1.11

1.06

0.99

0.91

7.35

5.96

5.43

4.98

6.77

11.28

ESPRIT HOLDINGS LTD

0.85

0.95

0.95

0.90

0.63

0.73

0.69

0.65

0.66

13.12

HANG LUNG PROPERTIES LTD

1.14

1.07

1.02

0.97

16.29

11.63

10.30

10.33

24.75

HANG SENG BANK LTD

3.09

2.71

2.41

2.28

9.43

9.66

8.76

8.06

12.70

HENDERSON LAND DEVELOPMENT

0.71

0.67

0.65

0.63

8.83

8.49

6.29

5.99

HENGAN INTL GROUP CO LTD

8.26

6.96

6.20

5.50

4.77

5.60

4.93

4.06

3.41

HONG KONG & CHINA GAS

4.46

4.11

3.81

3.58

3.13

8.50

7.17

6.36

5.69

HONG KONG EXCHANGES & CLEAR

10.27

9.07

8.63

21.95

17.88

16.13

HSBC HOLDINGS PLC

1.22

1.18

1.11

1.06

0.97

2.78

2.94

2.86

2.72

2.51

HUTCHISON WHAMPOA LTD

0.99

0.93

0.90

0.85

1.55

1.46

1.35

1.27

IND & COMM BK OF CHINA-H

1.58

1.36

1.19

1.03

3.14

2.77

2.53

2.29

2.04

5.04

LI & FUNG LTD

2.59

2.34

2.20

2.05

0.56

0.54

0.50

0.45

0.33

16.31

MTR CORP

1.45

1.35

1.30

1.25

5.63

5.14

4.89

4.58

24.46

NEW WORLD DEVELOPMENT

0.71

0.66

0.62

0.58

2.54

1.92

1.80

1.67

PETROCHINA CO LTD-H

1.53

1.44

1.34

1.25

1.11

0.87

0.79

0.74

0.71

PING AN INSURANCE GROUP CO-H

3.07

2.62

2.25

1.98

2.48

1.73

1.16

0.98

0.88

POWER ASSETS HOLDINGS LTD

2.44

2.34

2.18

2.04

1.95

13.77

13.84

13.53

13.24

SINO LAND CO

0.94

0.87

0.82

0.79

9.24

11.40

7.00

5.43

SUN HUNG KAI PROPERTIES

0.94

0.87

0.83

0.79

5.09

4.97

4.58

4.05

SWIRE PACIFIC LTD-A

0.67

0.69

0.67

0.67

4.45

3.47

3.27

3.03

TENCENT HOLDINGS LTD

12.60

9.55

6.99

5.23

3.94

13.92

8.98

6.96

5.54

0.74

2.11

1.96

14.23

14.65

43.87

21.42

16.77

11.26

8.63

60.20

30.30

-4.0%

2.19

16.79

17.9%

6.13

28.90

14.0%

15.18

14.40

12.26

10.62

14.01

13.10

12.40

11.51

4.58

4.76

5.04

5.47

4.37

7.26

10.61

7.97

6.45

9.75

87.07

19.95

11.63

3.78

0.46

1.59

2.86

15.14

4.1%

16.08

13.23

17.66

21.02

17.37

16.50

12.52

11.43

10.14

9.40

2.62

2.70

2.82

2.99

139.16

16.6%

6.15

4.97

4.49

6.66

7.08

6.50

5.78

7.74

8.98

8.67

7.95

10.82

3.52

3.06

3.18

3.47

3.83

8.93

22.0%

4.35

4.07

3.94

7.37

6.46

6.19

5.73

5.39

5.00

5.32

5.50

5.89

9.27

7.35

19.0%

23.96

35.46

17.47

14.83

7.97

1.33

1.10

1.83

2.10

4.22

27.20

19.6% -5.5%

5.78

19.03

17.78

16.94

16.14

17.93

12.68

18.22

15.85

14.20

13.24

3.72

2.51

2.82

3.25

3.30

25.50

4.00

4.00

3.93

3.78

3.64

10.96

10.96

10.95

10.69

10.67

3.93

3.95

3.97

4.18

4.70

92.45

8.8%

9.83

8.72

7.49

6.26

14.94

12.01

10.09

8.60

1.30

1.66

1.93

2.28

25.84

13.3%

3.08

5.38

5.64

4.90

4.55

4.11

8.08

10.05

8.31

7.71

7.62

3.18

3.41

3.88

4.14

4.42

8.84

1.3%

4.47

9.20

8.06

7.36

6.25

4.99

24.32

27.60

24.01

19.68

14.22

1.84

2.07

2.07

2.53

3.35

28.15

12.8%

16.24

13.17

11.28

9.02

20.08

17.66

14.74

11.81

13.80

10.41

8.42

7.61

6.44

20.01

14.41

11.31

10.39

5.82

5.74

5.42

5.12

5.38

9.91

9.61

9.26

4.72

4.19

3.60

3.19

2.79

38.93

30.13

18.92

3.97

11.84

13.61

11.42

8.24

4.63

7.38

8.39

6.26

8.03

7.52

12.06

10.80

10.20

9.39

8.66

16.82

15.27

14.51

14.08

5.45

5.10

3.90

3.86

3.74

3.50

3.47

7.78

8.25

8.49

8.19

9.11

8.47

7.76

20.12

14.47

12.97

12.16

15.83

10.59

11.87

10.59

67.79

21.35

8.35

8.29

33.03

12.32

5.88

21.13

35.07

18.32

15.27

13.89

21.47

15.90

14.08

13.94

26.42

20.60

18.35

17.33

25.67

29.93

27.38

14.90

13.43

11.69

14.10

732.19

192.27

267.25

36.48

35.06

31.09

24.18

23.65

20.11

17.44

16.47

15.56

2.93

35.57

26.97

22.08

17.83

27.25

19.55

16.38

13.85

37.14

27.54

23.04

19.46

5.11

30.37

25.60

24.02

21.72

32.06

24.75

22.54

20.76

31.95

26.32

24.57

23.12

30.79

24.83

21.62

21.98

17.43

15.58

35.29

29.30

26.83

6.64

11.83

10.56

9.06

14.23

12.29

10.86

9.68

8.59

8.46

9.12

8.45

7.51

18.10

15.23

13.03

11.38

4.52

4.17

4.05

14.40

11.28

29.35

59.06 0.71

13.37

7.80

5.21

4.29

1.95

5.39

13.73

12.46

11.19

9.68

9.88

13.19

16.24

11.28

9.59

18.05

17.69

14.73

14.64

13.91

9.28

7.60

7.16

18.57

15.20

5.13

5.45

4.73

4.52

4.56

6.15

16.13

16.61

16.10

15.76

25.43

14.60

18.74

12.24

10.93

14.96

13.61

12.99

4.66

31.88

4.12

22.09

1.49

1.42

1.73

2.09

23.93

9.5%

8.97

1.58

2.21

2.79

3.13

4.14

23.00

10.3%

8.73

8.89

3.67

4.03

4.14

4.39

3.95

36.85

30.0%

13.29

10.60

1.13

1.48

2.21

2.98

2.61

14.35

30.9%

4.18

3.56

3.47

4.18

12.36

11.6%

11.74

3.83

3.91

4.07

4.28

65.18

-2.1%

8.74

4.23

2.64

2.89

2.98

3.03

17.99

20.1%

9.50

8.71

3.96

3.38

3.76

4.21

4.47

13.04

7.2%

15.83

12.95

4.10

1.32

2.54

4.20

4.65

8.80

-12.9%

2.43

2.53

2.57

2.57

32.45

10.4%

4.20

4.23

4.27

4.35

19.28

118.33

-4.3%

1.97

2.04

2.11

2.25

62.68

17.3%

15.55

1.69

2.23

2.66

3.15

3.67

81.53

4.1%

21.14

1.53

1.80

1.93

2.10

2.74

19.56

-9.0%

2.57

3.07

3.36

131.45

-4.6%

3.71

3.96

4.41

4.94

5.55

2.55

2.70

2.91

3.12

12.56

4.2%

95.48

17.0%

7.33

6.57

6.27

5.78

5.70

4.96

5.12

5.40

5.79

6.55

21.3%

17.58

21.83

16.51

13.54

8.73

4.73

3.03

4.51

5.39

11.94

13.7%

12.98

19.20

20.04

19.81

16.93

2.15

2.47

2.52

2.62

32.74

3.8%

14.58

13.27

13.76

12.57

11.23

8.46

2.58

2.80

2.87

2.86

14.85

7.9%

6.19

5.54

5.14

4.92

11.29

12.88

11.12

10.19

10.60

3.94

3.55

4.00

4.35

4.37

12.13

14.8%

20.36

17.99

13.94

11.92

9.30

0.92

0.91

1.16

1.32

1.78

76.24

19.4%

19.31

19.60

19.07

18.41

19.76

16.36

15.27

14.58

13.95

15.05

3.33

3.66

3.85

3.94

3.92

65.23

-5.0%

11.43

21.20

25.40

16.33

15.71

15.92

12.99

13.64

12.12

3.13

3.57

3.54

3.75

15.16

11.2%

20.13

14.45

14.94

14.11

13.18

12.49

14.73

14.33

13.75

12.60

2.87

2.87

2.97

3.10

134.48

13.0%

13.79

12.38

23.37

17.00

17.78

16.20

15.37

15.67

15.66

13.91

5.17

2.98

3.29

3.66

100.82

2.2%

25.10

20.64

16.85

11.59

28.50

20.77

16.56

13.25

11.37

37.30

29.97

23.70

18.80

16.09

0.29

0.35

0.48

0.61

0.65

295.16

11.7%

6.77

13.27

8.77

87.56

TINGYI (CAYMAN ISLN) HLDG CO

7.12

5.88

5.31

4.72

3.88

1.83

1.54

1.30

1.12

1.02

13.66

11.08

11.98

9.80

7.12

15.22

13.02

10.90

9.19

7.21

32.95

31.76

25.11

20.59

15.98

1.52

1.74

2.01

2.54

3.26

23.17

13.3%

WANT WANT CHINA HOLDINGS LTD

15.10

11.36

9.61

8.13

7.23

6.31

5.15

4.22

3.55

2.96

38.17

26.94

22.90

19.09

14.62

32.58

22.47

17.95

14.96

11.24

45.80

33.52

26.94

22.53

17.85

1.46

1.82

2.26

2.77

3.35

10.91

2.3%

WHARF HOLDINGS LTD

1.07

0.87

0.84

0.80

8.92

6.24

6.08

5.42

60.53

20.77

23.32

13.25

21.26

15.90

15.73

14.07

24.86

18.77

17.67

15.20

1.55

1.93

2.03

2.28

67.13

1.6%

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

AIA Group Ltd AIA Group Ltd. offers insurance and financial services. The Company writes life insurance for individuals and businesses, accident and health insurance, retirement planning, and wealth management services.

Price/Volume 35

2500.0 M

30

2000.0 M

25

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (27.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.11.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1299 HK EQUITY YTD Change 1299 HK EQUITY YTD % CHANGE

11/2012 01/yy 32.95 24.05 94'653'532.00 32.85 -0.30% 36.59% 88.76% 12'044.0 395'645.38 1'229.00 0.0 102.0 4'303.00 49'261.33

20

1500.0 M

15

1000.0 M

10 500.0 M

5 0 m-11 a-11 m-11

.0 M j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 30.11.2008 30.11.2009 30.11.2010 30.11.2011 30.11.2012 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA EBIT Operating Margin 15.24% Pretax Margin 15.07% Return on Assets 1.47% Return on Common Equity 7.84% Return on Capital 7.34% Asset Turnover 0.12% Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin 14.8% Structure Current Ratio Quick Ratio Debt to Assets 1.07% Tot Debt to Common Equity 5.77% Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.04 0.84 12'039.65 13.55% 8.60% 0.835 22 4.273 35'619'150 39'421'770 68'123'060 FY+2

11/13 Y 11/14 Y 21'566.5 24'330.0 1.93x 2'858.4 3'215.0 17.72x 15.74x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

5.8% 5.4% 0.12 -

Sales/Revenue/Turnover

120.00

20'000.0 18'000.0

100.00

16'000.0 14'000.0

80.00

12'000.0

60.00

10'000.0 8'000.0

40.00

6'000.0 4'000.0

20.00 0.00 05.12.2008

2'000.0 0.0 05.06.2009

05.12.2009

05.06.2010

05.12.2010

05.06.2011

05.12.2011

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

AIA Group Ltd Holdings By:

All

Holder Name AIA AURORA LLC JP MORGAN CHASE & CO DEUTSCHE BANK AG CAPITAL RESEARCH GLO FAIRHOLME CAPITAL MA CAPITAL WORLD INVEST ABERDEEN ASSET MANAG WADDELL & REED FINAN FIDELITY MANAGEMENT BLACKROCK FUND ADVIS MORGAN STANLEY FRANKLIN RESOURCES I JANUS CAPITAL MANAGE T ROWE PRICE ASSOCIA FIRST STATE INVESTME VANGUARD GROUP INC FIDELITY INTERNATION OPPENHEIMERFUNDS INC STATE STREET GLOBAL ARTISAN PARTNERS HOL

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

JPMorgan CHAN BAO LING Credit Suisse ARJAN VAN VEEN BOCOM International Holdings LI WENBING EVA Dimensions TEAM COVERAGE Keefe, Bruyette & Woods STANLEY TSAI Mizuho Securities THOMAS J MONACO Deutsche Bank ESTHER CHWEI Morgan Stanley BEN LIN Yuanta Securities Investment ConsultingBARON NIE Macquarie SCOTT G RUSSELL CIMB BERTRAM LAI Citic Securities Co., Ltd FRANCIS CHAN HSBC MICHAEL P CHANG CLSA Asia Pacific Markets PATRICIA CHENG CCB International Securities Ltd KENNETH YUE Standard Chartered PETER O'BRIEN Societe Generale WILLIAM ELDERKIN Citi DARWIN LAM China International Capital Corp SALLY NG Nomura DAVID CHUNG Barclays Capital MARK KELLOCK ICBC International Securities PIUS CHENG AMTD Financial Planning Limited KENNY TANG SING HING Goldman Sachs MANCY SUN Daiwa Securities Capital Markets Co. JENNIFER LAW

Source Research EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation overweight neutral long-term buy sell outperform buy buy Overwt/Attractive buy restricted outperform sell overweight underperform neutral outperform hold buy accumulate buy equalwt/positive buy buy Buy/Neutral buy

Amt Held 2'240'184'000 692'523'609 398'438'707 316'662'500 302'221'000 192'143'000 184'257'800 159'991'900 128'036'453 116'484'600 112'935'375 89'970'263 89'544'200 86'553'200 82'193'600 81'169'270 80'476'655 75'648'400 75'157'642 68'617'560

% Out 18.6 5.75 3.31 2.63 2.51 1.6 1.53 1.33 1.06 0.97 0.94 0.75 0.74 0.72 0.68 0.67 0.67 0.63 0.62 0.57

Weighting

Change

5 3 5 1 5 5 5 5 5 #N/A N/A 5 1 5 1 3 5 3 5 4 5 3 5 5 5 5

M M M D M M M M M M M M M M M M M M M M M M M M M

Latest Chg 7'325'000 13'958'600 2'443'600 11'111'200 5'411'217 (127'000) 1'810'776 (5'450'600) 3'395'600 2'500'838 72'426'065 3'913'400 75'157'642 5'382'600

Target Price 34 30 34 #N/A N/A 33 34 32 32 33 #N/A N/A 34 25 35 28 30 35 26 34 35 35 32 33 30 36 31

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 06.03.2012 08.02.2012 02.11.2010 31.12.2011 30.11.2011 31.12.2011 31.01.2012 30.09.2011 31.01.2012 08.03.2012 02.11.2010 31.12.2011 31.12.2011 31.12.2011 31.10.2011 31.12.2011 30.12.2011 29.12.2011 30.06.2011 30.09.2011

Date 12 month Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month Not Provided Not Provided 12 month 6 month Not Provided Not Provided Not Provided 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided

Inst Type Other Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor

Date 09.03.2012 06.03.2012 06.03.2012 05.03.2012 29.02.2012 28.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 26.02.2012 26.02.2012 26.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 08.02.2012 30.01.2012


27.02.2013

Aluminum Corp of China Ltd Aluminum Corporation of China Limited, also known as Chalco, is a producer of alumina and primary aluminum in China. The Company refines bauxite into alumina and smelts aluminato to produce primary aluminum.

Price/Volume 9

120.0 M

8

100.0 M

7 6

80.0 M

5

60.0 M

4

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (27.02.2012) 52-Week Low (05.09.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2600 HK EQUITY YTD Change 2600 HK EQUITY YTD % CHANGE

12/2011 01/yy 4.41 2.86 15'842'870.00 3.3 -25.17% 15.38% 30.32% 3'944.0 70'783.45 74'375.05 0.0 6'301.3 11'644.74 149'629.23

3

40.0 M

2

20.0 M

1 0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 9'088.54 EBIT 3'228.38 Operating Margin 2.22% Pretax Margin 0.56% Return on Assets -3.03% Return on Common Equity -10.11% Return on Capital Asset Turnover 0.88% Margin Analysis Gross Margin 5.1% EBITDA Margin EBIT Margin -1.9% Net Income Margin 0.2% Structure Current Ratio 0.80 Quick Ratio 0.28 Debt to Assets 47.33% Tot Debt to Common Equity 143.43% Accounts Receivable Turnover 21.17 Inventory Turnover 5.87 Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.46 3'943.97 -20.86% -7.04% 1.457 22 1.500 16'284'240 20'196'900 23'679'940 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 145'071.2 150'924.2 34'679.0 36'105.0 1.03x 1.03x 3'410.8 6'986.8 1'621.0 43.87x 21.42x (5'212.4) (2'689.7) (841.5) (627.0) S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

12.09.2012 NEG 2.17 0.06 143.4% 56.1% 0.88 1.57 17.29 62.35 15.22 57.72

Sales/Revenue/Turnover

25.00

140'000.0 120'000.0

20.00

100'000.0 15.00

80'000.0 60'000.0

10.00

40'000.0 5.00

0.00 04.01.2008

20'000.0 0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Aluminum Corp of China Ltd Holdings By:

All

Holder Name FRANKLIN RESOURCES I BLACKROCK INC JP MORGAN CHASE & CO BLACKROCK FUND ADVIS MORGAN STANLEY CREDIT SUISSE MORGAN STANLEY VANGUARD GROUP INC CREDIT SUISSE TEMPLETON INVESTMENT JP MORGAN CHASE & CO STATE STREET GLOBAL BLACKROCK GROUP LIMI CHINA INTERNATIONAL BLACKROCK INC CREDIT SUISSE ASSET JF ASSET MANAGEMENT STATE STREET CORP KB ASSET MANAGEMENT JP MORGAN ASSET MGMT

Firm Name Morgan Stanley Goldman Sachs Bank of China International JPMorgan BOCOM International Holdings Citi ICBC International Securities Mizuho Securities Daiwa Securities Capital Markets Co. Macquarie Barclays Capital CLSA Asia Pacific Markets RBS First Global Stockbroking EVA Dimensions Religare Capital Markets Credit Suisse Standard Chartered China International Capital Corp Masterlink Securities UOB Kay Hian HSBC SWS Research Co Ltd Deutsche Bank Phillip Securities China Merchants Securities

Portfolio Name n/a n/a n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst RACHEL L ZHANG JULIAN ZHU ROBIN TSUI DANIEL KANG RONGJIN LUO AARON GE DUNCAN CHAN KELVIN NG ALEXANDER LATZER CHRISTINA LEE EPHREM RAVI ANDREW DRISCOLL JEANNETTE SIM ADITYA WELEKAR TEAM COVERAGE CATHERINE WANG TRINA CHEN CHEN YAN CAI HONGYU SARAH WANG HELEN LAU SARAH MAK ZHENG DI NAM NGUYEN FAN GUOHE WEI XIAOSHUANG

Source EXCH EXCH EXCH MF-AGG Short EXCH EXCH MF-AGG Short MF-AGG Short MF-AGG MF-AGG MF-AGG Short MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation Underwt/In-Line neutral/neutral hold neutral neutral sell hold underperform underperform underperform underwt/positive sell sell underperform buy sell underperform underperform hold buy buy overweight buy not rated hold neutral

Amt Held % Out 869'414'800 22.04 271'043'717 6.87 186'643'700 4.73 173'336'000 4.39 (169'930'860) -4.31 161'136'834 4.09 156'702'435 3.97 144'357'584 3.66 (130'059'394) -3.3 77'176'800 1.96 (44'124'781) -1.12 35'257'848 0.89 33'122'300 0.84 22'566'000 0.57 (18'838'621) -0.48 10'126'000 0.26 9'502'000 0.24 8'514'304 0.22 7'652'000 0.19 4'324'000 0.11

Weighting 1 3 3 3 3 1 3 1 1 1 1 1 1 1 5 1 1 1 3 5 5 5 5 #N/A N/A 3 3

Change M M M M M M M M M M M M M N U M M M M U M M M M D D

Latest Chg (184'000) 196'000 410'190 (24'000) 22'566'000 (144'000) 9'502'000 212'000 (2'378'000)

Target Price 3 4 4 4 4 3 4 3 3 3 4 4 3 #N/A N/A #N/A N/A 4 2 4 6 8 11 10 12 #N/A N/A 10 4

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 04.01.2012 28.12.2011 16.12.2011 08.03.2012 09.01.2012 28.07.2011 09.01.2012 31.12.2011 28.07.2011 31.03.2011 16.12.2011 30.06.2011 08.03.2012 30.06.2011 28.12.2011 26.01.2012 30.06.2011 08.03.2012 30.09.2011 26.10.2011

Date 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month Not Provided 12 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month Not Provided

Inst Type Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Mutual Fund Manager Investment Advisor Mutual Fund Manager Mutual Fund Manager

Date 09.03.2012 09.03.2012 08.03.2012 05.03.2012 02.03.2012 01.03.2012 03.02.2012 31.01.2012 31.01.2012 19.01.2012 19.01.2012 17.01.2012 12.01.2012 24.12.2011 06.12.2011 02.11.2011 26.10.2011 25.10.2011 29.08.2011 22.06.2011 15.03.2011 02.03.2011 08.11.2010 17.09.2010 29.11.2009 13.02.2009


27.02.2013

Bank of China Ltd Bank of China Ltd provides a complete range of banking and other financial services to individual and corporation customers worldwide. The bank's services include retail banking, Great Wall credit card and debit card services, consumer credit, foreign currency transaction, corporate banking, settlement and clearing,investment banking, and fund management businesses.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (06.09.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 3988 HK EQUITY YTD Change 3988 HK EQUITY YTD % CHANGE

12/2011 09/yy 4.00 2.73 401'756'054.00 3.55 -11.25% 30.04% 66.14% 83'622.3 1'022'750.00 1'916'969.00 0.0 32'732.0 3'128'981.00 -

5 5 4 4 3 3 2 2 1 1 0 m-11

7000.0 M 6000.0 M 5000.0 M 4000.0 M 3000.0 M 2000.0 M 1000.0 M .0 M a-11 m-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended

LTM-4Q

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA EBIT Operating Margin 49.70% Pretax Margin 51.24% Return on Assets 1.06% Return on Common Equity 18.13% Return on Capital 4.46% Asset Turnover 0.05% Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin 37.7% Structure Current Ratio Quick Ratio Debt to Assets 16.20% Tot Debt to Common Equity 265.08% Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

LTM

FY+1

5.44 1.10 72'987.26 15.11% 2.60% 1.098 40 4.200 ######### ######### ######### FY+2

FQ+1

FQ+2

09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 379'949.0 479'512.0 360'061.0 390'151.9 87'114.0 4.59x 1.66x 0.0 0.0 0.00x 0.00x 97'951.0 121'475.0 132'492.0 135'646.3 26'767.7 34'739.0 9.14x 4.51x 6.05x 5.91x 5.94x 5.82x S&P Issuer Ratings Long-Term Rating Date 29.11.2011 Long-Term Rating A Long-Term Outlook STABLE Short-Term Rating Date 29.11.2011 Short-Term Rating A-1 Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity 265.1% Total Debt/Capital 71.7% Asset Turnover 0.05 Net Fixed Asset Turnover 4.06 Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle Sales/Revenue/Turnover

450.00

450'000.0

400.00

400'000.0

350.00

350'000.0

300.00

300'000.0

250.00

250'000.0

200.00

200'000.0

150.00

150'000.0

100.00

100'000.0

50.00

50'000.0

0.00 04.01.2008 04.07.2008

j-11

0.0 04.01.2009 04.07.2009

04.01.2010 04.07.2010

04.01.2011 04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Bank of China Ltd Holdings By:

All

Holder Name SOCIAL SECURITY FUND TEMASEK HOLDINGS PRI BLACKROCK INC JP MORGAN CHASE & CO VANGUARD GROUP INC BLACKROCK FUND ADVIS CAPITAL WORLD INVEST CAPITAL RESEARCH GLO BLACKROCK INC BLACKROCK GROUP LIMI STATE STREET GLOBAL FRANKLIN RESOURCES I FIDELITY INTERNATION CAPITAL INTERNATIONA T ROWE PRICE ASSOCIA SHINHAN BNP PARIBAS BANK OF NEW YORK MEL PRUDENTIAL ASSET MGM GAM INTERNATIONAL MA INVESCO ASSET MANAGE

Firm Name

Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Sanford C. Bernstein & Co MIKE WERNER Nomura LUCY FENG UOB Kay Hian EDMOND LAW Keefe, Bruyette & Woods WARREN BLIGHT Goldman Sachs NING MA BNP Paribas Equity Research ELLIE LI BOCOM International Holdings LI SHANSHAN EVA Dimensions TEAM COVERAGE ICBC International Securities IVAN LIN Barclays Capital MAY YAN Citic Securities Co., Ltd ZHU YAN Bank of China International JINHUA YIN Credit Suisse SANJAY JAIN Mizuho Securities JIM ANTOS DBS Vickers ALEXANDER LEE CIMB JAMES LIU Citi SIMON HO HSBC TODD DUNIVANT Kim Eng Securities IVAN LI Standard Chartered LAWRENCE CHEN Deutsche Bank TRACY YU Macquarie VICTOR WANG JPMorgan SAMUEL SHUN CHEN CCB International Securities Ltd SHENG NAN CLSA Asia Pacific Markets KEVIN CHAN Morgan Stanley MINYAN LIU Yuanta Securities Investment ConsultingTAN MING Daiwa Securities Capital Markets Co. GRACE WU Guotai Junan WILSON LI Religare Capital Markets SOPHIE JIANG ABC International EDMOND LAW Capital Securities Corp TEAM COVERAGE China International Capital Corp MAO JUNHUA SWS Research Co Ltd ROBERT HU Core Pacific LI TIMOTHY RBS IRENE HUANG Phillip Securities CHEN XINGYU Mirae Asset Securities NAN LI Masterlink Securities RAINY YUAN KGI Securities MICHELLE CHEN

Source EXCH EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG Short MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation market perform buy hold market perform Buy/Neutral buy buy hold buy underwt/neutral add buy neutral underperform buy neutral neutral overweight buy outperform buy outperform neutral neutral buy Equalwt/In-Line hold hold accumulate buy buy hold buy neutral hold buy buy buy hold neutral

Amt Held % Out 8'357'384'041 9.99 5'914'493'996 7.07 4'768'778'810 5.7 3'776'242'843 4.52 2'468'039'448 2.95 1'855'750'000 2.22 1'362'527'600 1.63 1'293'058'600 1.55 (845'783'598) -1.01 589'653'791 0.71 559'128'105 0.67 346'664'500 0.41 313'567'102 0.37 312'354'255 0.37 252'740'100 0.3 249'229'386 0.3 243'042'000 0.29 191'503'000 0.23 179'747'700 0.21 177'081'500 0.21

Weighting

Change 3 5 3 3 5 5 5 3 5 1 4 5 3 1 5 3 3 5 5 5 5 5 3 3 5 3 3 3 4 5 5 3 5 3 3 5 5 5 3 3

M M M M U M M D U D M M M M M M M M M M M M M N U M D M M N M M M D M M M M M M

Latest Chg 91'414'000 39'606'000 (1'147'000) (31'174'500) (455'830'800) 4'184'000 4'982'481 (3'852'000) (336'214'237) (4'397'000) 28'264'000 (207'415'000) (27'844'000) 23'750'000 (118'000) (37'667'400)

Target Price 5 4 4 5 4 4 4 #N/A N/A 4 3 #N/A N/A 4 4 3 4 4 3 4 4 4 4 4 6 3 4 3 3 3 5 3 4 #N/A N/A 6 4 3 4 4 4 5 4

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 08.02.2012 Pension Fund (ERISA) 22.08.2011 Government 01.03.2012 Investment Advisor 07.01.2010 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 01.03.2012 Investment Advisor 08.03.2012 Investment Advisor 30.06.2011 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 30.11.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 08.03.2012 Investment Advisor 06.10.2011 Investment Advisor 31.10.2011 Investment Advisor 29.07.2011 Mutual Fund Manager

Date 12 month Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month 12 month 9 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month 12 month 12 month 6 month 12 month

Date 12.03.2012 12.03.2012 12.03.2012 09.03.2012 07.03.2012 07.03.2012 05.03.2012 05.03.2012 29.02.2012 28.02.2012 27.02.2012 24.02.2012 23.02.2012 23.02.2012 22.02.2012 22.02.2012 20.02.2012 13.02.2012 03.02.2012 01.02.2012 16.01.2012 13.01.2012 12.01.2012 09.01.2012 05.01.2012 18.12.2011 13.12.2011 07.11.2011 01.11.2011 31.10.2011 31.10.2011 27.10.2011 27.10.2011 27.10.2011 27.10.2011 25.10.2011 31.08.2011 25.08.2011 28.03.2011 25.03.2010


27.02.2013

Bank of Communications Co Ltd Bank of Communications Co. Ltd. provides a full range of commercial banking services including RMB and foreign currency deposit, loan, international and domestic settlement, discount, currency trading, letter of credit, bank guarantee, and other related services.

Price/Volume 9

160.0 M

8

140.0 M

7

120.0 M

6

100.0 M

5

80.0 M

4

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (16.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 3328 HK EQUITY YTD Change 3328 HK EQUITY YTD % CHANGE

12/2011 09/yy 6.70 4.75 29'952'460.00 5.93 -11.49% 24.84% 61.03% 35'011.9 446'250.06 949'230.00 0.0 986.0 1'181'145.00 -

60.0 M

3 2

40.0 M

1

20.0 M

0 m-11

.0 M a-11 m-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended

LTM-4Q

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA EBIT Operating Margin 49.99% Pretax Margin 50.16% Return on Assets 1.17% Return on Common Equity 20.32% Return on Capital 4.37% Asset Turnover 0.05% Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin 38.9% Structure Current Ratio Quick Ratio Debt to Assets 20.59% Tot Debt to Common Equity 349.24% Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

LTM

FY+1

2.10 1.21 10'041.70 0.20% 1.54% 1.214 39 3.256 29'190'470 34'506'550 35'979'460 FY+2

FQ+1

FQ+2

09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 153'248.0 205'721.0 146'723.2 160'080.0 34'523.0 10.20x 2.63x 0.0 0.0 0.00x 0.00x 36'780.0 47'921.0 56'325.5 57'779.8 11'811.0 10.34x 5.02x 5.80x 6.00x S&P Issuer Ratings Long-Term Rating Date 06.12.2011 Long-Term Rating ALong-Term Outlook STABLE Short-Term Rating Date 28.11.2012 Short-Term Rating A-2 Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity 349.2% Total Debt/Capital 77.7% Asset Turnover 0.05 Net Fixed Asset Turnover 6.81 Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle Sales/Revenue/Turnover

500.00

180'000.0

450.00

160'000.0

400.00

140'000.0

350.00

120'000.0

300.00

100'000.0

250.00

80'000.0

200.00

60'000.0

150.00

40'000.0

100.00

20'000.0

50.00 0.00 04.01.2008 04.07.2008

j-11

0.0 04.01.2009 04.07.2009

04.01.2010 04.07.2010

04.01.2011 04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Bank of Communications Co Ltd Holdings By:

All

Holder Name HSBC HOLDINGS PLC SOCIAL SECURITY FUND CHINA MINISTRY OF FI BLACKROCK FUND ADVIS VANGUARD GROUP INC PRUDENTIAL FINANCIAL BLACKROCK GROUP LIMI STATE STREET GLOBAL MORGAN STANLEY DIMENSIONAL FUND ADV MANULIFE ASSET MANAG STATE STREET CORP HALBIS CAPITAL MGMT STB ASSET MANAGEMENT AMUNDI LUXEMBOURG SA DWS INVESTMENT S A SEB FONDFORVALTNING DIMENSIONAL FUND ADV UBI PRAMERICA SGR SP HANDELSBANKEN FONDER

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Sanford C. Bernstein & Co MIKE WERNER UOB Kay Hian EDMOND LAW Nomura LUCY FENG Keefe, Bruyette & Woods WARREN BLIGHT Goldman Sachs NING MA ICBC International Securities IVAN LIN Barclays Capital MAY YAN Citic Securities Co., Ltd ZHU YAN Bank of China International JINHUA YIN Credit Suisse SANJAY JAIN Mizuho Securities JIM ANTOS DBS Vickers ALEXANDER LEE CIMB JAMES LIU Citi SIMON HO China International Capital Corp MAO JUNHUA RBS IRENE HUANG HSBC TODD DUNIVANT Mirae Asset Securities NAN LI CLSA Asia Pacific Markets KEVIN CHAN Religare Capital Markets SOPHIE JIANG Standard Chartered LAWRENCE CHEN JPMorgan SAMUEL SHUN CHEN Kim Eng Securities IVAN LI Deutsche Bank TRACY YU Masterlink Securities RAINY YUAN Macquarie VICTOR WANG CCB International Securities Ltd SHENG NAN EVA Dimensions TEAM COVERAGE Morgan Stanley MINYAN LIU Yuanta Securities Investment ConsultingTAN MING BNP Paribas Equity Research ELLIE LI Phillip Securities CHEN XINGYU ABC International EDMOND LAW Capital Securities Corp TEAM COVERAGE Core Pacific LI TIMOTHY BOCOM International Holdings LI SHANSHAN SWS Research Co Ltd ROBERT HU Guotai Junan WILSON LI Daiwa Securities Capital Markets Co. GRACE WU

Source EXCH Co File Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation market perform hold neutral market perform Sell/Neutral hold underwt/neutral add hold underperform underperform buy neutral buy buy buy neutral hold underperform sell in-line overweight buy hold hold outperform neutral buy Equalwt/In-Line hold hold buy buy buy hold restricted neutral accumulate outperform

Amt Held 11'796'013'770 7'027'777'778 3'795'000'000 385'479'600 268'387'453 96'695'231 80'440'703 65'206'510 20'424'181 12'094'076 11'893'058 11'630'028 9'841'700 9'437'975 9'388'050 8'711'000 7'927'000 7'250'018 6'083'900 5'989'142

% Out 40.43 24.09 13.01 1.32 0.92 0.33 0.28 0.22 0.07 0.04 0.04 0.04 0.03 0.03 0.03 0.03 0.03 0.02 0.02 0.02

Weighting

Change

3 3 3 3 1 3 1 4 3 1 1 5 3 5 5 5 3 3 1 1 3 5 5 3 3 5 3 5 3 3 3 5 5 5 3 #N/A N/A 3 4 5

M M M M M M M M M M M M M M M M M D M D D M M M M M N N D M M M M M M M M M D

Latest Chg 916'666'667 (443'000) (51'000) 3'425'000 (48'000) 761'248 2'934'309 (2'702'700) 9'060'000 5'988'800 3'814'000 -

Target Price 7 6 6 7 7 7 6 #N/A N/A 7 6 5 7 7 7 8 7 7 6 6 5 6 10 7 7 7 8 6 #N/A N/A 7 6 6 6 7 9 6 #N/A N/A 9 8 7

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 04.08.2011 31.12.2010 31.12.2010 08.03.2012 31.12.2011 31.01.2012 08.03.2012 30.06.2011 31.12.2011 30.11.2011 30.04.2011 08.03.2012 20.01.2011 25.11.2011 30.12.2011 31.01.2012 30.09.2011 31.08.2011 30.11.2011 31.01.2012

Date 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month 9 month 12 month 12 month Not Provided 12 month Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided Not Provided

Inst Type Investment Advisor Pension Fund (ERISA) Government Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Hedge Fund Manager Mutual Fund Manager Investment Advisor Mutual Fund Manager Mutual Fund Manager Investment Advisor Mutual Fund Manager Investment Advisor

Date 12.03.2012 12.03.2012 11.03.2012 09.03.2012 07.03.2012 29.02.2012 28.02.2012 27.02.2012 24.02.2012 23.02.2012 23.02.2012 22.02.2012 22.02.2012 20.02.2012 14.02.2012 13.02.2012 13.02.2012 13.02.2012 13.02.2012 10.02.2012 09.02.2012 09.02.2012 03.02.2012 16.01.2012 13.01.2012 13.01.2012 09.01.2012 06.01.2012 18.12.2011 13.12.2011 08.12.2011 31.10.2011 31.10.2011 28.10.2011 28.10.2011 20.10.2011 31.08.2011 22.08.2011 18.08.2011


27.02.2013

Bank of East Asia Ltd The Bank of East Asia, Ltd. and its subsidiaries provide general banking and related financial services, and business corporate and investor services.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (08.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 23 HK EQUITY YTD Change 23 HK EQUITY YTD % CHANGE

12/2012 12/yy 32.45 24.95 5'168'207.00 31.55 -2.77% 26.45% 84.00% 2'227.1 70'265.12 57'344.00 0.0 4'486.0 136'130.00 -

16.0 M

35

14.0 M

30

12.0 M

25

10.0 M

20

8.0 M

15

6.0 M

10

4.0 M

5

2.0 M

0 m-11

Fiscal Year Ended

LTM-4Q

j-11

j-11

LTM

12/yy 0.0 #DIV/0! 0.0 0.00x 0.0 0.00x

a-11

12/yy 0.0 #DIV/0! 0.0 0.00x 0.0 0.00x

s-11

o-11

n-11

d-11

j-12

f-12

FY+1

3.36 0.91 1'720.96 7.22% 6.41% 0.906 27 2.630 2'192'881 1'867'034 2'121'272 FY+2

FQ+1

FQ+2

12/13 Y 12/14 Y 09/12 Q3 12/12 Q4 15'643.9 17'081.3 5'017.8 5'460.5 14.19x 13.18x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

01.12.2011 A STABLE 01.12.2011 A-1 100.3% 48.2% 0.04 3.01 -

Sales/Revenue/Turnover

1.20

30'000.0

1.00

25'000.0

0.80

20'000.0

0.60

.0 M a-11 m-11

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA EBIT Operating Margin 39.09% Pretax Margin 47.42% Return on Assets 0.93% Return on Common Equity 11.56% Return on Capital 5.73% Asset Turnover 0.04% Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin 38.0% Structure Current Ratio Quick Ratio Debt to Assets 8.29% Tot Debt to Common Equity 100.33% Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

40

15'000.0 10'000.0

0.40

5'000.0 0.20

0.0 0.00

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Bank of East Asia Ltd Holdings By:

All

Holder Name CAIXABANK GUOCO GROUP LTD LI KWOK PO KWOK SING LI FOOK CHUEN LI KWOK CHEUNG LI BLACKROCK FUND ADVIS VANGUARD GROUP INC LI KWOK-SZE STATE STREET GLOBAL CHI YUN WONG KOWLOON DAIRY LTD MAN WAI MONG GAM INTERNATIONAL MA KAY PENG KHOO ARTISAN PARTNERS HOL LAZARD GLOBAL ACTIVE MALAYAN UNITED INDUS IG INVESTMENT MANAGE BLACKROCK GROUP LIMI

Firm Name Citi Citic Securities Co., Ltd Keefe, Bruyette & Woods Deutsche Bank Macquarie Credit Suisse Sanford C. Bernstein & Co Bank of China International DBS Vickers Mizuho Securities China International Capital Corp UOB Kay Hian Mirae Asset Securities Core Pacific CLSA Asia Pacific Markets Standard Chartered Morgan Stanley Goldman Sachs JPMorgan HSBC Daiwa Securities Capital Markets Co. BNP Paribas Equity Research Nomura CCB International Securities Ltd Barclays Capital EVA Dimensions Kim Eng Securities

Portfolio Name n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios

Analyst GARY LAM STEVEN CHAN WARREN BLIGHT SOPHIA LEE ISMAEL PILI FRANCO LAM MIKE WERNER MIMI KONG ALEXANDER LEE JIM ANTOS SALLY NG SIMON NG PATRICK PONG LI TIMOTHY KEVIN CHAN LAWRENCE CHEN ANIL AGARWAL GURPREET SINGH SAHI JOSEPH LEUNG TODD DUNIVANT QUEENIE POON DOMINIC CHAN DANIEL SHUM ADAM CHAN SHARNIE WONG TEAM COVERAGE IVAN LI

Source EXCH EXCH EXCH EXCH EXCH EXCH MF-AGG MF-AGG EXCH MF-AGG EXCH EXCH EXCH MF-AGG EXCH MF-AGG MF-AGG Co File MF-AGG MF-AGG

Recommendation neutral hold underperform hold underperform underperform underperform hold fully valued underperform hold sell hold hold outperform in-line Underwt/Cautious Sell/Neutral neutral underweight hold buy reduce neutral underwt/neutral sell hold

Amt Held 330'024'107 291'358'150 54'121'573 34'268'022 27'033'091 23'884'140 21'437'850 15'537'191 14'598'580 13'711'236 13'646'373 9'215'746 8'117'876 6'710'918 5'442'216 5'185'900 4'228'890 4'158'301 3'289'158 2'323'810

% Out 15.9 14.03 2.61 1.65 1.3 1.15 1.03 0.75 0.7 0.66 0.66 0.44 0.39 0.32 0.26 0.25 0.2 0.2 0.16 0.11

Weighting

Change 3 3 1 3 1 1 1 3 2 1 3 1 3 3 5 3 1 1 3 1 3 5 2 3 1 1 3

M M M M M M M M M M M D M M M M M M M M M M M M M M M

Latest Chg 100'000 (23'000) 304'200 (714'839) (1'000'000) (481'600) 27'500 (24'600)

Target Price 30 32 29 26 27 24 25 30 24 22 29 28 32 30 34 30 26 25 32 27 28 42 22 29 26 #N/A N/A 31

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 12.08.2011 11.10.2011 10.10.2011 19.09.2011 19.09.2011 19.09.2011 08.03.2012 31.12.2011 19.09.2011 30.06.2011 19.09.2011 19.09.2011 14.01.2010 31.10.2011 19.09.2011 30.06.2011 31.01.2012 31.12.2010 30.11.2011 08.03.2012

Date Not Provided 6 month 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month Not Provided Not Provided 12 month 12 month 12 month 9 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month

Inst Type Investment Advisor Other n/a n/a n/a n/a Investment Advisor Investment Advisor n/a Investment Advisor n/a Corporation n/a Investment Advisor n/a Investment Advisor Investment Advisor Holding Company Investment Advisor Investment Advisor

Date 12.03.2012 01.03.2012 29.02.2012 20.02.2012 17.02.2012 16.02.2012 15.02.2012 15.02.2012 15.02.2012 15.02.2012 15.02.2012 15.02.2012 15.02.2012 15.02.2012 15.02.2012 14.02.2012 14.02.2012 14.02.2012 14.02.2012 14.02.2012 14.02.2012 14.02.2012 14.02.2012 14.02.2012 14.02.2012 30.11.2011 08.08.2011


27.02.2013

Belle International Holdings Ltd Belle International Holdings Limited retails woman's footwear. The Company operates retail stores in the Peoples Republic of China, Hong Kong, Macau, and the United States.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (19.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1880 HK EQUITY YTD Change 1880 HK EQUITY YTD % CHANGE

12/2011 01/yy 18.58 11.80 30'663'090.00 14.24 -23.36% 20.68% 37.76% 8'434.2 120'103.48 1'895.42 0.0 170.1 6'750.82 91'228.29

20 18 16 14 12 10 8 6 4 2 0 m-11

350.0 M 300.0 M 250.0 M 200.0 M 150.0 M 100.0 M 50.0 M .0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 6'034.58 EBIT 5'271.47 Operating Margin 18.21% Pretax Margin 18.90% Return on Assets 17.90% Return on Common Equity 23.17% Return on Capital 20.80% Asset Turnover 1.24% Margin Analysis Gross Margin 57.2% EBITDA Margin 20.7% EBIT Margin 17.9% Net Income Margin 14.7% Structure Current Ratio 3.06 Quick Ratio 1.63 Debt to Assets 7.38% Tot Debt to Common Equity 9.76% Accounts Receivable Turnover 12.20 Inventory Turnover 2.28 Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.40 1.00 4'475.75 13.98% -15.34% 1.002 33 3.515 65'178'460 22'174'740 18'262'800 FY+2

12/12 Y 12/13 Y 33'338.8 39'028.2 2.76x 2.31x 6'336.4 7'443.5 14.40x 12.26x 4'452.0 5'211.2 21.61x 18.44x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

321.64 231.17 -0.83 0.38 9.8% 8.8% 1.24 8.72 30.01 160.78 29.57 167.67

Sales/Revenue/Turnover

120.00

25'000.0

100.00

20'000.0

80.00

15'000.0

60.00

10'000.0 40.00

5'000.0

20.00 0.00 04.01.2008 04.07.2008

0.0 04.01.2009 04.07.2009

04.01.2010 04.07.2010

04.01.2011 04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Belle International Holdings Ltd Holdings By:

All

Holder Name PROFIT LEADER HOLDIN HANDY LTD ESSEN WORLDWIDE HLDG JP MORGAN CHASE & CO VANGUARD GROUP INC FIDELITY INTERNATION TANG WING SZE CAPITAL WORLD INVEST ARTIO GLOBAL MANAGEM BAIJIAO SHENG FIRST STATE INVESTME SCHRODER INVESTMENT BLACKROCK FUND ADVIS T ROWE PRICE ASSOCIA STATE STREET GLOBAL FIDELITY MANAGEMENT BANK OF NEW YORK MEL WILLIAM BLAIR & COMP MATTHEWS INTERNATION CAPITAL RESEARCH GLO

Firm Name Nomura EVA Dimensions BOCOM International Holdings Morgan Stanley Haitong International Securities JPMorgan Piper Jaffray Core Pacific Goldman Sachs RBS Credit Suisse ICBC International Securities Mirae Asset Securities Barclays Capital Mizuho Securities China International Capital Corp SWS Research Co Ltd UOB Kay Hian CCB International Securities Ltd Citi HSBC CLSA Asia Pacific Markets First Shanghai Securities Ltd Macquarie Guotai Junan Deutsche Bank KGI Securities

Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios WILLIAM BLAIR & COMP Multiple Portfolios Multiple Portfolios

Analyst SARAH XING TEAM COVERAGE PHOEBE WONG ROBERT LIN WANG ELYSE KURUMLU EBRU SENER TERRY WY CHENG EUGENE MAK CAROLINE LI KATHERINE CHAN KEVIN YIN CARRIE CHAN SELINA SIA CANDY HUANG PETER TANG HAIYAN GUO JOYCE JIA KEN LEE FORREST CHAN CATHERINE LIM CHRISTOPHER K LEUNG XIAOPO WEI CHRISTINA LIE LINDA HUANG JERRY PENG ANNE LING MICHELLE CHEN

Source EXCH EXCH EXCH EXCH MF-AGG MF-AGG EXCH MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG 13F MF-AGG MF-AGG

Recommendation buy underweight neutral Overwt/Attractive buy overweight neutral buy neutral/neutral sell outperform buy reduce overwt/neutral buy buy outperform buy outperform buy neutral buy hold outperform buy buy outperform

Amt Held 2'627'500'000 580'877'000 573'373'000 422'814'793 198'152'748 140'368'055 81'842'500 81'200'000 75'071'000 75'000'000 73'387'000 65'884'000 51'422'000 41'693'000 41'469'525 38'618'985 38'131'000 34'993'000 25'710'000 25'700'000

% Out 31.15 6.89 6.8 5.01 2.35 1.66 0.97 0.96 0.89 0.89 0.87 0.78 0.61 0.49 0.49 0.46 0.45 0.41 0.3 0.3

Weighting

Change 5 1 3 5 5 5 3 5 3 1 5 5 2 5 5 5 5 5 5 5 3 5 3 5 5 5 5

M U M M M M M M D D M M D M M M M M M M D M M M M M M

Latest Chg (117'875'000) (76'873'000) (45'252'000) 8'942'894 14'775'334 54'500'000 (5'765'000) 2'888'000 44'000 3'590'000 659'502 4'663'985 (148'000) 12'048'000 (1'638'000) 21'800'000

Target Price 16 #N/A N/A 11 16 15 16 13 15 14 9 15 14 10 18 14 19 15 17 15 16 14 19 15 19 19 17 18

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 14.09.2011 n/a 14.09.2011 n/a 14.09.2011 Other 07.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 20.09.2011 n/a 31.12.2011 Investment Advisor 31.10.2011 Investment Advisor 14.09.2011 n/a 31.10.2011 Mutual Fund Manager 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 31.01.2012 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor

Date Not Provided Not Provided 12 month 12 month 12 month 9 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month Not Provided 12 month 12 month

Date 08.03.2012 05.03.2012 29.02.2012 27.02.2012 23.02.2012 20.02.2012 15.02.2012 10.02.2012 08.02.2012 18.01.2012 17.01.2012 17.01.2012 16.01.2012 16.01.2012 13.01.2012 13.01.2012 13.01.2012 13.01.2012 13.01.2012 12.01.2012 11.01.2012 06.01.2012 24.12.2011 11.11.2011 27.08.2011 25.08.2011 13.01.2011


27.02.2013

BOC Hong Kong Holdings Ltd BOC Hong Kong (Holdings) Limited provides a comprehensive range of financial products and services to retail and corporate customers. Its products include retail banking, corporate banking, and treasury services. The Company operates its branches in Hong Kong and China.

Price/Volume 30

70.0 M

25

60.0 M 50.0 M

20

40.0 M

15

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (07.03.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2388 HK EQUITY YTD Change 2388 HK EQUITY YTD % CHANGE

12/2011 01/yy 27.10 20.80 19'631'558.00 25.35 -6.46% 21.88% 74.60% 10'572.8 268'019.97 274'572.00 0.0 3'418.0 419'465.00 -

30.0 M

10

20.0 M

5

10.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA EBIT Operating Margin 55.20% Pretax Margin 60.60% Return on Assets 1.12% Return on Common Equity 14.75% Return on Capital 4.72% Asset Turnover 0.03% Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin 50.2% Structure Current Ratio Quick Ratio Debt to Assets 15.79% Tot Debt to Common Equity 211.59% Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

4.35 0.97 3'588.38 24.97% 5.19% 0.967 32 4.219 11'716'970 13'951'130 12'944'820 FY+2

12/12 Y 12/13 Y 35'724.4 39'275.9 20'268.6 21'497.5 13.10x 12.40x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

211.6% 67.3% 0.03 1.34 -

Sales/Revenue/Turnover

12.00

70'000.0

10.00

60'000.0 50'000.0

8.00

40'000.0 6.00

30'000.0

4.00

20'000.0

2.00

10'000.0

0.00 04.01.2008

0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

BOC Hong Kong Holdings Ltd Holdings By:

All

Holder Name BOC HONG KONG BVI LT FIDELITY INTERNATION BLACKROCK FUND ADVIS VANGUARD GROUP INC STATE STREET GLOBAL WADDELL & REED FINAN PRUDENTIAL FINANCIAL GAM INTERNATIONAL MA ARTISAN PARTNERS HOL FRANKLIN RESOURCES I FIDELITY INVESTMENTS FIDELITY MANAGEMENT MATTHEWS INTERNATION SUMITOMO MITSUI ASSE DEUTSCHE BANK AG SCHRODER INVESTMENT CHINA SOUTHERN FUND RCM CAPITAL MANAGEME CHINA INTERNATIONAL NOMURA ASSET MANAGEM

Firm Name JPMorgan Core Pacific Citic Securities Co., Ltd Keefe, Bruyette & Woods Kim Eng Securities Macquarie HSBC Barclays Capital Nomura CCB International Securities Ltd Deutsche Bank Sanford C. Bernstein & Co EVA Dimensions DBS Vickers China International Capital Corp BOCOM International Holdings Bank of China International Daiwa Securities Capital Markets Co. Credit Suisse Mizuho Securities Mirae Asset Securities Citi UOB Kay Hian Morgan Stanley Goldman Sachs CLSA Asia Pacific Markets Guotai Junan BNP Paribas Equity Research Standard Chartered

Portfolio Name n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst JOSEPH LEUNG LI TIMOTHY STEVEN CHAN WARREN BLIGHT IVAN LI ISMAEL PILI TODD DUNIVANT SHARNIE WONG DANIEL SHUM ADAM CHAN SOPHIA LEE MIKE WERNER TEAM COVERAGE ALEXANDER LEE SALLY NG YANG QINGLI MIMI KONG GRACE WU FRANCO LAM JIM ANTOS PATRICK PONG GARY LAM SIMON NG ANIL AGARWAL VINCENT CHANG KEVIN CHAN WILSON LI DOMINIC CHAN LAWRENCE CHEN

Source Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation overweight hold hold market perform buy underperform overweight equalwt/neutral buy outperform buy outperform underweight buy accumulate long-term buy buy outperform outperform neutral buy buy buy Equalwt/Cautious neutral/neutral buy neutral buy in-line

Amt Held 6'984'274'213 79'277'609 50'014'500 35'727'101 33'080'948 30'922'800 27'471'000 25'183'500 23'788'412 21'432'500 18'105'500 16'845'066 14'555'500 11'452'000 11'284'821 9'529'500 9'400'000 7'970'000 7'803'000 7'177'000

% Out 66.06 0.75 0.47 0.34 0.31 0.29 0.26 0.24 0.22 0.2 0.17 0.16 0.14 0.11 0.11 0.09 0.09 0.08 0.07 0.07

Weighting

Change 5 3 3 3 5 1 5 3 5 5 5 5 1 5 4 5 5 5 5 3 5 5 5 3 3 5 3 5 3

M D M M U M M M M M M M D M M N M M M N M M M D D M M M M

Latest Chg (18'415'683) (50'000) 799'818 387'599 (76'957'200) 981'500 (2'081'000) (679'000) 24'000 (2'889'000) (107'500) (131'500) (3'000) (6'826'500) 1'000'000 835'500 (997'000) 91'500

Target Price 22 24 21 24 26 18 26 22 25 26 24 24 #N/A N/A 23 24 24 23 21 23 19 24 20 30 17 21 27 23 32 26

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2010 Government 30.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 30.09.2011 Investment Advisor 31.01.2012 Investment Advisor 31.01.2012 Investment Advisor 30.06.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2010 Mutual Fund Manager 31.01.2012 Investment Advisor 30.12.2011 Investment Advisor 30.09.2012 Investment Advisor 31.01.2012 Investment Advisor 30.06.2011 Investment Advisor 30.06.2011 Investment Advisor 31.01.2012 Investment Advisor 30.06.2011 Investment Advisor 31.10.2011 Investment Advisor

Date 12 month Not Provided 6 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided Not Provided Not Provided 12 month 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided 12 month 12 month

Date 12.03.2012 12.03.2012 01.03.2012 29.02.2012 20.02.2012 15.02.2012 13.02.2012 13.02.2012 10.02.2012 09.02.2012 06.02.2012 03.02.2012 13.01.2012 10.01.2012 04.01.2012 30.12.2011 13.12.2011 13.12.2011 30.11.2011 30.11.2011 30.11.2011 25.11.2011 23.11.2011 03.11.2011 02.11.2011 25.10.2011 29.08.2011 25.08.2011 27.07.2011


27.02.2013

Cathay Pacific Airways Ltd Cathay Pacific Airways Limited operates scheduled airline services. The Company also provides related services, including airline catering, aircraft handling, and engineering.

Price/Volume 25

35.0 M 30.0 M

20

25.0 M

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (14.03.2012) 52-Week Low (18.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 293 HK EQUITY YTD Change 293 HK EQUITY YTD % CHANGE

12/2011 01/yy 16.00 11.76 3'594'867.00 14.54 -9.13% 23.64% 60.38% 3'933.8 57'198.10 49'013.00 0.0 135.0 19'597.00 93'001.10

15

20.0 M

10

15.0 M 10.0 M

5

5.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 11'431.00 EBIT 5'263.00 Operating Margin 5.35% Pretax Margin 6.58% Return on Assets 1.24% Return on Common Equity 3.25% Return on Capital 2.65% Asset Turnover 0.71% Margin Analysis Gross Margin EBITDA Margin 14.0% EBIT Margin 2.5% Net Income Margin 5.6% Structure Current Ratio 0.76 Quick Ratio 0.58 Debt to Assets 34.32% Tot Debt to Common Equity 87.82% Accounts Receivable Turnover 15.92 Inventory Turnover Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

2.34 0.88 1'365.75 5.78% 2.25% 0.882 23 3.174 4'346'109 4'073'042 3'914'851 FY+2

12/12 Y 12/13 Y 98'091.7 105'721.2 0.94x 0.91x 8'768.4 11'672.8 10.61x 7.97x 644.0 2'889.9 87.07x 19.95x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

12.58 -6.80 2.54 3.84 87.8% 46.7% 0.71 1.38 22.99 -

Sales/Revenue/Turnover

30.00

100'000.0 90'000.0

25.00

80'000.0 70'000.0

20.00

60'000.0

15.00

50'000.0 40'000.0

10.00

30'000.0 20'000.0

5.00 0.00 04.01.2008

10'000.0 0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Cathay Pacific Airways Ltd Holdings By:

All

Holder Name SWIRE PACIFIC LTD ANGEL PARADISE LTD CUSTAIN LTD MOTIVE LINK HOLDINGS EASERICH INVESTMENTS GRAND LINK INVESTMEN WADDELL & REED FINAN PERFECT MATCH ASSETS ALLIANZ GLOBAL INV O BLACKROCK FUND ADVIS VANGUARD GROUP INC STATE STREET GLOBAL FIDELITY INVESTMENTS NORTHERN TRUST CORPO LANDESBANK BERLIN IN FIDELITY MANAGEMENT ALLIANCEBERNSTEIN LU WILLIAM BLAIR & COMP SCHRODER INVESTMENT PRUDENTIAL FINANCIAL

Firm Name Nomura BOCOM International Holdings Barclays Capital EVA Dimensions BNP Paribas Equity Research Credit Suisse JPMorgan RBS Morgan Stanley CIMB Maybank Investment Bank Berhad CLSA Asia Pacific Markets Citi UOB Kay Hian DBS Vickers Daiwa Securities Capital Markets Co. Standard Chartered Deutsche Bank HSBC Goldman Sachs Bank of China International CCB International Securities Ltd Haitong International Securities Mirae Asset Securities Phillip Securities

Portfolio Name n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios WILLIAM BLAIR & COMP Multiple Portfolios Multiple Portfolios

Analyst JIM WONG GEOFFREY CHENG PATRICK XU TEAM COVERAGE ARNAUD BOUCHET SAM LEE CORRINE PNG ANDREW ORCHARD TEAM COVERAGE RAYMOND YAP WONG CHEW HANN PHILIP CHOW MICHAEL BEER K AJITH PAUL YONG KELVIN LAU CLAIRE TENG JOE LIEW MARK CARMERON ROSS WEBB HINO LAM DU JIANPING TIMOTHY BACCHUS CHO FOOK TAT RYU JE-HYUN JAY JING ZHANG

Source EXCH EXCH EXCH EXCH EXCH EXCH MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG 13F MF-AGG MF-AGG

Recommendation buy neutral underwt/neutral overweight buy outperform underweight sell Equalwt/In-Line neutral sell underperform sell buy buy hold in-line buy overweight Sell/Neutral buy underperform buy buy buy

Amt Held 1'769'024'255 288'596'335 280'078'680 207'376'655 191'922'273 189'976'645 55'841'100 21'809'399 21'246'900 14'297'000 12'799'608 10'549'984 9'207'000 5'923'906 5'491'000 5'249'327 5'105'879 4'775'000 4'712'000 4'705'000

% Out 44.97 7.34 7.12 5.27 4.88 4.83 1.42 0.55 0.54 0.36 0.33 0.27 0.23 0.15 0.14 0.13 0.13 0.12 0.12 0.12

Weighting

Change 5 3 1 5 5 5 1 1 3 3 1 1 1 5 5 3 3 5 5 1 5 1 5 5 5

M M N U M M M M M D M M M M M M M U U D M M M M N

Latest Chg (12'256'900) (302'900) (10'000) (82'000) 123'609 (392'600) 932'000 52'322 1'130'000 (88'000)

Target Price 24 15 16 #N/A N/A 16 18 14 10 15 17 12 14 11 16 17 14 16 15 18 11 20 16 23 28 14

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2011 Holding Company 31.12.2011 Other 31.12.2011 Other 31.12.2011 Other 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 31.12.2011 Other 29.02.2012 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 31.12.2010 Mutual Fund Manager 31.12.2011 Investment Advisor 31.01.2012 Mutual Fund Manager 31.01.2012 Investment Advisor 31.01.2012 Investment Advisor 30.09.2011 Investment Advisor 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor

Date Not Provided 12 month Not Provided Not Provided 12 month Not Provided 9 month 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided Not Provided 12 month 12 month 12 month

Date 12.03.2012 12.03.2012 08.03.2012 05.03.2012 17.02.2012 14.02.2012 14.02.2012 13.02.2012 13.02.2012 08.02.2012 20.01.2012 20.01.2012 18.01.2012 10.01.2012 20.12.2011 19.12.2011 29.11.2011 21.11.2011 14.10.2011 11.09.2011 11.08.2011 11.08.2011 31.05.2011 01.12.2010 24.08.2009


27.02.2013

Cheung Kong Holdings Ltd Cheung Kong (Holdings) Limited, through its subsidiaries, develops and invests in real estate. The Company also provides real estate agency and management services, operates hotels, and invests in securities.

Price/Volume 140

18.0 M

120

16.0 M 14.0 M

100

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (17.01.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 27.11.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1 HK EQUITY YTD Change 1 HK EQUITY YTD % CHANGE

12/2011 01/yy 132.70 86.00 3'462'783.00 119.3 -10.10% 38.72% 69.59% 2'316.2 276'318.41 45'917.00 0.0 7'860.0 20'114.00 304'965.41

10.0 M

60

8.0 M 6.0 M

40

4.0 M

20

2.0 M

0 m-11

Fiscal Year Ended

LTM-4Q

LTM

01/yy

01/yy -

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

FY+1 -

2.65 1.09 1'309.63 13.19% 0.25% 1.086 20 4.900 5'444'254 4'126'289 3'864'734 FY+2

12/12 Y 12/13 Y 31'783.0 39'104.0 9.53x 7.54x 14'505.2 17'560.0 21.02x 17.37x 24'120.7 27'139.3 11.43x 10.14x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

28.12.2011 NR 14.85 13.15 2.32 5.00 15.0% 12.7% 0.06 0.65 26.37 -

Sales/Revenue/Turnover

1.20

30'000.0

1.00

25'000.0

0.80

20'000.0

0.60

.0 M a-11 m-11

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 11'122.00 EBIT 10'722.00 Operating Margin 32.52% Pretax Margin 145.86% Return on Assets 7.63% Return on Common Equity 9.21% Return on Capital 8.29% Asset Turnover 0.06% Margin Analysis Gross Margin EBITDA Margin 39.4% EBIT Margin 37.7% Net Income Margin 139.7% Structure Current Ratio 2.63 Quick Ratio 0.59 Debt to Assets 12.30% Tot Debt to Common Equity 14.98% Accounts Receivable Turnover 13.88 Inventory Turnover Price/ Cash Flow

12.0 M

80

15'000.0 10'000.0

0.40

5'000.0 0.20

0.0 0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Cheung Kong Holdings Ltd Holdings By:

All

Holder Name LI KA-SHING UNITY TR JP MORGAN CHASE & CO SUNJET LIMITED KEEN SHINE INVESTMEN FIRST STATE INVESTME THIRD AVENUE MANAGEM HARBOR CAPITAL ADVIS KING'S ROAD DEVELOPM BLACKROCK FUND ADVIS FRANKLIN RESOURCES I FIRST STATE INVESTME FIDELITY INTERNATION VANGUARD GROUP INC STATE STREET GLOBAL ING INVESTMENT MANAG ODYSSEY REINS CO ARTISAN PARTNERS HOL SOUTHEASTERN ASSET M ONTARIO TEACHERS PEN SKANDIA GLOBAL FUNDS

Firm Name CLSA Asia Pacific Markets Goldman Sachs BOCOM International Holdings Mirae Asset Securities Standard Chartered JPMorgan Jefferies Nomura Credit Suisse DBS Vickers Macquarie Bank of China International UOB Kay Hian EVA Dimensions Morgan Stanley Citi Barclays Capital Deutsche Bank Daiwa Securities Capital Markets Co. AMTD Financial Planning Limited RBS CCB International Securities Ltd

Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios ODYSSEY REINS CO Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios

Analyst DANIE SCHUTTE SIMON CHEUNG ALFRED LAU KEITH YEUNG PAUL YAU LUCIA KWONG CHRISTIE JU PAUL LOUIE CUSSON LEUNG JEFF YAU DAVID NG VENANT CHIANG SYLVIA WONG TEAM COVERAGE PRAVEEN K CHOUDHARY KEN YEUNG ANDREW LAWRENCE JASON CHING JONAS KAN KENNY TANG SING HING FAN TSO EDMOND CHAN

Source EXCH EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG Sch-D MF-AGG MF-AGG Research MF-AGG

Recommendation outperform Buy/Neutral buy buy outperform overweight hold buy outperform buy outperform buy hold buy Overwt/In-Line buy overwt/negative buy outperform buy buy neutral

Amt Held 913'378'704 113'205'411 78'668'000 65'491'000 44'850'000 37'539'000 33'285'000 23'059'840 20'785'500 17'355'782 15'521'000 14'994'979 14'908'583 12'383'807 10'449'320 9'379'400 9'034'000 7'637'000 6'600'000 6'002'000

% Out 39.43 4.89 3.4 2.83 1.94 1.62 1.44 1 0.9 0.75 0.67 0.65 0.64 0.53 0.45 0.4 0.39 0.33 0.28 0.26

Weighting

Change 5 5 5 5 5 5 3 5 5 5 5 5 3 5 5 5 5 5 5 5 5 3

M M M U M M M M M M M N M M M M M M M N M M

Latest Chg (9'451'000) (596'000) (25'000) (54'000) 2'673'180 447'175 101'920 524'000 (972'000) 673'000 1'100'000 -

Target Price 125 134 132 126 124 125 93 137 124 119 123 109 87 #N/A N/A 112 126 106 140 140 126 151 123

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 27.01.2012 31.01.2012 10.12.2010 27.01.2012 31.10.2011 31.10.2011 31.12.2011 27.01.2012 08.03.2012 31.12.2011 31.10.2011 30.12.2011 31.12.2011 30.06.2011 31.12.2011 30.09.2011 30.06.2011 30.09.2011 31.12.2010 31.10.2011

Date Not Provided 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month Not Provided

Inst Type Other Investment Advisor Other Investment Advisor Investment Advisor Hedge Fund Manager Investment Advisor Other Investment Advisor Investment Advisor Mutual Fund Manager Investment Advisor Investment Advisor Investment Advisor Investment Advisor Insurance Company Investment Advisor Investment Advisor Pension Fund (ERISA) Mutual Fund Manager

Date 01.03.2012 27.02.2012 27.02.2012 22.02.2012 18.02.2012 16.02.2012 14.02.2012 13.02.2012 09.02.2012 27.01.2012 05.01.2012 20.12.2011 16.12.2011 30.11.2011 23.11.2011 09.11.2011 02.11.2011 14.09.2011 05.08.2011 05.08.2011 24.05.2011 10.12.2010


27.02.2013

China Coal Energy Co Ltd China Coal Energy Company Ltd mines and markets thermal coal and coking coal. The Company also manufactures coal mining equipment and offers coal mine design services.

Price/Volume 14

250.0 M

12

200.0 M

10

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (28.02.2012) 52-Week Low (28.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1898 HK EQUITY YTD Change 1898 HK EQUITY YTD % CHANGE

12/2011 03/yy 10.10 6.08 29'142'230.00 7.32 -27.52% 20.39% 28.36% 4'106.7 115'231.84 29'794.88 0.0 14'219.7 32'173.57 122'379.78

8

150.0 M

6

100.0 M

4 50.0 M

2 0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended

LTM-4Q

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 18'629.14 EBIT 13'960.50 Operating Margin 15.91% Pretax Margin 16.00% Return on Assets 6.29% Return on Common Equity 11.56% Return on Capital 9.28% Asset Turnover 0.62% Margin Analysis Gross Margin 20.9% EBITDA Margin 19.9% EBIT Margin 14.4% Net Income Margin 11.2% Structure Current Ratio 1.95 Quick Ratio 1.39 Debt to Assets 18.63% Tot Debt to Common Equity 36.45% Accounts Receivable Turnover 9.87 Inventory Turnover 10.33 Price/ Cash Flow

LTM

03/yy 0.0 #DIV/0! 0.0 0.00x 0.0 0.00x

03/yy 0.0 #DIV/0! 0.0 0.00x 2'592.0 0.00x

FY+1

3.66 1.41 3'805.98 -23.02% -13.06% 1.407 38 3.658 31'295'550 24'204'590 24'981'420 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 89'085.5 97'688.2 22'993.8 21'793.0 1.43x 1.43x 5.93x 17'274.3 18'829.8 7.08x 6.50x 8'703.3 8'892.8 1'879.0 2'189.0 8.98x 8.67x 8.77x 8.05x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

16.86 -1.16 0.57 1.89 36.4% 23.7% 0.62 1.52 37.07 35.42 48.33 18.03

Sales/Revenue/Turnover

60.00

80'000.0 70'000.0

50.00

60'000.0 40.00

50'000.0 40'000.0

30.00

30'000.0

20.00

20'000.0 10.00 0.00 04.01.2008

10'000.0 0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Coal Energy Co Ltd Holdings By:

All

Holder Name GOVT OF SINGAPORE IN DAVIS SELECTED ADVIS JP MORGAN CHASE & CO MORGAN STANLEY BLACKROCK FUND ADVIS VANGUARD GROUP INC SCHRODER INVESTMENT FRANKLIN RESOURCES I MORGAN STANLEY BLACKROCK INC BLACKROCK GROUP LIMI RCM CAPITAL MANAGEME STATE STREET GLOBAL BANK OF NEW YORK MEL SHINHAN BNP PARIBAS DWS INVESTMENT S A VAN ECK ASSOCIATES C JPMORGAN ASSET MANAG T ROWE PRICE ASSOCIA IVY MANAGEMENT INCOR

Firm Name

Portfolio Name n/a n/a n/a #N/A N/A Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Citic Securities Co., Ltd WALLACE CHENG SinoPac ROBERT WEI Goldman Sachs JULIAN ZHU Sanford C. Bernstein & Co MICHAEL W PARKER BOCOM International Holdings HE WEI UOB Kay Hian HELEN LAU JPMorgan DANIEL KANG BNP Paribas Equity Research JAMES CLARKE Nomura IVAN LEE Deutsche Bank JAMES KAN Mizuho Securities KELVIN NG Morgan Stanley WEE KIAT TAN Barclays Capital EPHREM RAVI Macquarie MATTY ZHAO CCB International Securities Ltd KAREN LI Bank of China International LAWRENCE LAU ICBC International Securities ANNA YU HSBC SARAH MAK Core Pacific KENNY CHEUNG CLSA Asia Pacific Markets ANDREW DRISCOLL DBS Vickers JUNE NG Standard Chartered CHEN YAN GuoSen Securities Co Ltd DAVID LAM RBS JEANNETTE SIM Capital Securities Corp XU YING KGI Securities YANG TAO EVA Dimensions TEAM COVERAGE Citi SCARLETT Y CHEN Yuanta Securities Investment ConsultingJOHNNY WONG Ji Asia SAMUEL THAWLEY Religare Capital Markets CATHERINE WANG AMTD Financial Planning Limited KENNY TANG SING HING Credit Suisse TRINA CHEN Masterlink Securities LI XIN Daiwa Securities Capital Markets Co. ALEXANDER LATZER China International Capital Corp CAI HONGYU Chang Jiang Securities Co. Limited LIU YUANRUI SWS Research Co Ltd HUANG ZHE Guotai Junan LEO WU Cinda Securities Ltd CASTOR PANG

Source EXCH Co File EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG Short Short MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation buy buy Buy/Neutral market perform long-term buy buy overweight buy buy hold neutral Equalwt/In-Line overwt/positive outperform outperform buy buy overweight hold buy hold in-line buy buy buy neutral sell buy buy buy buy buy outperform hold hold accumulate buy neutral neutral neutral

Amt Held % Out 278'649'390 6.79 248'098'000 6.04 223'731'573 5.45 221'711'137 5.4 185'629'000 4.52 150'398'090 3.66 63'269'000 1.54 51'365'770 1.25 (47'751'400) -1.16 (43'295'841) -1.05 40'650'801 0.99 36'985'000 0.9 36'712'231 0.89 14'119'000 0.34 13'807'062 0.34 12'921'000 0.31 11'433'947 0.28 10'400'000 0.25 8'715'000 0.21 8'609'000 0.21

Weighting

Change 5 5 5 3 5 5 5 5 5 3 3 3 5 5 5 5 5 5 3 5 3 3 5 5 5 3 1 5 5 5 5 5 5 3 3 4 5 3 3 3

M M M M M M M M M D M M M M M M M M M M M M M M M M M U M M M M M M U M N M M N

Latest Chg (200'000) 297'000 51'736'000 (3'427'010) (8'743'043) (1'954'000) 6'292'000 420'419 (1'736'000) (102'000) 2'530'000 (34'047'000) 8'609'000

Target Price 11 13 12 8 12 13 11 12 12 10 10 11 13 12 12 11 12 12 11 12 10 10 11 11 10 11 #N/A N/A 10 14 12 12 9 13 9 11 13 #N/A N/A 12 12 10

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.01.2012 Government 31.12.2010 Investment Advisor 16.02.2012 Investment Advisor 07.03.2012 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 31.12.2011 Investment Advisor 07.03.2012 Investment Advisor 05.03.2012 Investment Advisor 08.03.2012 Investment Advisor 31.01.2012 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Investment Advisor 31.01.2012 Mutual Fund Manager 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor

Date 6 month 12 month 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided 12 month 12 month Not Provided Not Provided 6 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided

Date 12.03.2012 12.03.2012 09.03.2012 07.03.2012 07.03.2012 06.03.2012 05.03.2012 05.03.2012 05.03.2012 02.03.2012 02.03.2012 01.03.2012 27.02.2012 20.02.2012 19.02.2012 16.02.2012 15.02.2012 06.02.2012 01.02.2012 01.02.2012 26.01.2012 18.01.2012 17.01.2012 12.01.2012 11.01.2012 21.12.2011 30.11.2011 25.11.2011 22.11.2011 16.11.2011 04.11.2011 24.10.2011 21.10.2011 20.09.2011 18.08.2011 17.08.2011 17.08.2011 16.06.2011 03.05.2011 07.07.2010


27.02.2013

China Construction Bank Corp China Construction Bank Corporation provides a complete range of banking services and other financial services to individual and corporate customers. The bank's services include retail banking, international settlement, project finance, and credit card services.

Price/Volume 8

6000.0 M

7

5000.0 M

6 4000.0 M

5 4

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (28.01.2013) 52-Week Low (12.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 939 HK EQUITY YTD Change 939 HK EQUITY YTD % CHANGE

12/2011 09/yy 6.75 4.71 233'370'871.00 6.18 -8.44% 31.21% 71.57% 240'417.3 1'541'116.63 1'211'152.00 0.0 5'520.0 2'765'601.00 -

3000.0 M

3

2000.0 M

2 1000.0 M

1 0 m-11

.0 M a-11 m-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended

LTM-4Q

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA EBIT Operating Margin 54.90% Pretax Margin 55.07% Return on Assets 1.50% Return on Common Equity 22.40% Return on Capital Asset Turnover 0.05% Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin 42.5% Structure Current Ratio Quick Ratio Debt to Assets 9.86% Tot Debt to Common Equity 149.31% Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

LTM

FY+1

1.09 69'156.38 2.29% -0.64% 1.095 39 4.590 ######### ######### ######### FY+2

FQ+1

FQ+2

09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 433'258.0 541'946.0 455'951.0 495'249.5 116'000.5 117'798.0 3.57x 0.40x 0.0 0.0 0.00x 0.00x 131'136.0 163'357.0 192'305.5 200'904.0 42'185.5 55'991.0 10.47x 6.03x 6.46x 6.19x 5.98x 5.84x S&P Issuer Ratings Long-Term Rating Date 29.11.2011 Long-Term Rating A Long-Term Outlook STABLE Short-Term Rating Date 29.11.2011 Short-Term Rating A-1 Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity 149.3% Total Debt/Capital 59.7% Asset Turnover 0.05 Net Fixed Asset Turnover 7.30 Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle Sales/Revenue/Turnover

16.00

500'000.0

14.00

450'000.0 400'000.0

12.00

350'000.0

10.00

300'000.0

8.00

250'000.0 200'000.0

6.00

150'000.0

4.00

100'000.0

2.00

50'000.0

0.00 04.01.2008

j-11

0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Construction Bank Corp Holdings By:

All

Holder Name CENTRAL HUIJIN INVES TEMASEK HOLDINGS PRI BANK OF AMERICA CORP BAOSTEEL GROUP CORP BEST INVESTMENT CORP VANGUARD GROUP INC BLACKROCK FUND ADVIS STATE GRID INTL DEVP CHINA YANGTZE POWER CARMIGNAC GESTION RECA INVESTMENT LTD YINGDA INTL HOLDINGS CAPITAL RESEARCH GLO FIDELITY INTERNATION STATE STREET GLOBAL SCHRODER INVESTMENT BLACKROCK GROUP LIMI FIDELITY MANAGEMENT SHANDONG LUNENG GROU STATE GRID INTL TECH

Firm Name

Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a

Analyst

Sanford C. Bernstein & Co MIKE WERNER Nomura LUCY FENG UOB Kay Hian EDMOND LAW Keefe, Bruyette & Woods WARREN BLIGHT Goldman Sachs NING MA BOCOM International Holdings LI SHANSHAN Barclays Capital MAY YAN Citic Securities Co., Ltd ZHU YAN Bank of China International SUN PENG Credit Suisse SANJAY JAIN Mizuho Securities JIM ANTOS DBS Vickers ALEXANDER LEE CIMB JAMES LIU Citi SIMON HO AMTD Financial Planning Limited KENNY TANG SING HING HSBC TODD DUNIVANT Kim Eng Securities IVAN LI Standard Chartered LAWRENCE CHEN Deutsche Bank TRACY YU Macquarie VICTOR WANG JPMorgan SAMUEL SHUN CHEN CLSA Asia Pacific Markets KEVIN CHAN Morgan Stanley MINYAN LIU Yuanta Securities Investment ConsultingTAN MING EVA Dimensions TEAM COVERAGE Phillip Securities CHEN XINGYU Core Pacific LI TIMOTHY Guotai Junan WILSON LI Religare Capital Markets SOPHIE JIANG China International Capital Corp MAO JUNHUA Hua Tai Securities Co., Ltd LIU XIAOCHANG ABC International EDMOND LAW RBS IRENE HUANG Mirae Asset Securities PATRICK PONG Daiwa Securities Capital Markets Co. GRACE WU SWS Research Co Ltd ROBERT HU Masterlink Securities RAINY YUAN ICBC International Securities IVAN LIN KGI Securities MICHELLE CHEN Tebon Securities Co Ltd XU MINGQIANG

Source

Amt Held EXCH 142'590'494'651 EXCH 22'655'348'797 EXCH 5'942'736'979 Co File 3'210'000'000 EXCH 2'760'000'000 MF-AGG 2'215'858'508 MF-AGG 1'522'660'930 Co File 1'315'282'730 Co File 1'070'000'000 MF-AGG 893'776'990 Co File 856'000'000 Co File 856'000'000 MF-AGG 829'528'845 MF-AGG 716'512'027 MF-AGG 536'000'598 MF-AGG 527'098'596 MF-AGG 403'327'600 MF-AGG 394'730'339 Co File 374'500'000 Co File 350'000'000

Recommendation outperform buy buy outperform neutral/neutral buy overwt/neutral buy buy outperform neutral buy outperform buy buy overweight buy outperform buy outperform overweight sell Overwt/In-Line buy overweight buy buy accumulate hold buy buy buy buy buy outperform outperform trading buy buy outperform outperform

Weighting

% Out 59.31 9.42 2.47 1.34 1.15 0.92 0.63 0.55 0.45 0.37 0.36 0.36 0.35 0.3 0.22 0.22 0.17 0.16 0.16 0.15

Change 5 5 5 5 3 5 5 5 5 5 3 5 5 5 5 5 5 5 5 5 5 1 5 5 5 5 5 4 3 5 5 5 5 5 5 5 5 5 5 5

M M M M D M M M U M M M M M M M M M M M M M M U M M M M M M M M M M M M N M N N

Latest Chg 242'685'000 (790'000) (66'010'584) 4'939'958 (19'236'314) (4'204'000) 33'208'245 -

Target Price 9 8 8 11 8 7 8 #N/A N/A 7 8 7 8 8 8 7 8 8 7 7 8 10 5 8 7 #N/A N/A 7 7 8 5 10 #N/A N/A 8 8 7 6 7 9 9 8 #N/A N/A

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 14.11.2011 11.11.2011 17.11.2011 31.12.2010 14.11.2011 31.12.2011 08.03.2012 31.12.2010 31.12.2010 30.09.2011 31.12.2010 31.12.2010 31.12.2011 30.12.2011 30.06.2011 31.12.2011 08.03.2012 31.01.2012 31.12.2010 31.12.2010

Date 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month 9 month Not Provided 12 month Not Provided Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided 6 month Not Provided 12 month Not Provided

Inst Type Government Government Investment Advisor Government Investment Advisor Investment Advisor Investment Advisor n/a Government Investment Advisor n/a n/a Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Corporation n/a

Date 12.03.2012 12.03.2012 12.03.2012 09.03.2012 07.03.2012 05.03.2012 28.02.2012 27.02.2012 24.02.2012 23.02.2012 23.02.2012 22.02.2012 22.02.2012 20.02.2012 20.02.2012 13.02.2012 03.02.2012 01.02.2012 16.01.2012 13.01.2012 12.01.2012 05.01.2012 18.12.2011 13.12.2011 30.11.2011 22.11.2011 10.11.2011 08.11.2011 02.11.2011 31.10.2011 31.10.2011 31.10.2011 24.10.2011 23.08.2011 22.08.2011 22.08.2011 24.11.2010 01.11.2010 16.04.2010 02.01.2009


27.02.2013

China Life Insurance Co Ltd China Life Insurance Co., Limited offers a wide range of life, accident, and health insurance products and services.

Price/Volume 35

200.0 M 180.0 M 160.0 M 140.0 M 120.0 M 100.0 M 80.0 M 60.0 M 40.0 M 20.0 M .0 M

30 25 20

Valuation Analysis

15

Latest Fiscal Year: LTM as of: 52-Week High (15.01.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2628 HK EQUITY YTD Change 2628 HK EQUITY YTD % CHANGE

12/2011 01/yy 27.35 17.00 30'833'272.00 22.75 -16.82% 33.82% 54.11% 7'441.2 647'920.56 42'990.00 0.0 1'858.0 55'985.00 -

Fiscal Year Ended

1.20

5 0 m-11

a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data

Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA EBIT Operating Margin 5.18% Pretax Margin 5.54% Return on Assets 0.90% Return on Common Equity 7.31% Return on Capital 5.91% Asset Turnover 0.21% Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin 4.9% Structure Current Ratio Quick Ratio Debt to Assets 2.71% Tot Debt to Common Equity 22.45% Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

10

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.26 1.24 7'441.18 -1.67% -10.08% 1.237 32 3.313 34'735'170 33'104'750 33'638'450 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 365'499.8 408'094.4 1.40x 1.24x 14'661.0 29'398.7 35.46x 17.47x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

AANEG 22.4% 18.2% 0.21 -

Sales/Revenue/Turnover

450'000.0 400'000.0

1.00 0.80

350'000.0 300'000.0 250'000.0

0.60

200'000.0 150'000.0

0.40 0.20

100'000.0 50'000.0 0.0

0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Life Insurance Co Ltd Holdings By:

All

Holder Name JP MORGAN CHASE & CO VANGUARD GROUP INC BLACKROCK FUND ADVIS CARMIGNAC GESTION CAPITAL WORLD INVEST JP MORGAN CHASE & CO HARBOR CAPITAL ADVIS THORNBURG INVESTMENT STATE STREET GLOBAL BLACKROCK GROUP LIMI CAPITAL RESEARCH GLO BLACKROCK INC FIDELITY INTERNATION COMGEST GROWTH PLC GAM INTERNATIONAL MA SHINHAN BNP PARIBAS SCHRODER INVESTMENT STATE STREET CORP INVESCO ASSET MANAGE RCM CAPITAL MANAGEME

Firm Name

Portfolio Name n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Nomura DAVID CHUNG JPMorgan CHAN BAO LING Core Pacific OLIVE XIA Kim Eng Securities IVAN LI China International Capital Corp MAO JUNHUA BNP Paribas Equity Research ELLIE LI CLSA Asia Pacific Markets PATRICIA CHENG BOCOM International Holdings LI WENBING Morgan Stanley BEN LIN Credit Suisse ARJAN VAN VEEN Citi DARWIN LAM Yuanta Securities Investment ConsultingBARON NIE Macquarie SCOTT G RUSSELL DBS Vickers PING CHENG Keefe, Bruyette & Woods STANLEY TSAI CCB International Securities Ltd KENNETH YUE ICBC International Securities PIUS CHENG AMTD Financial Planning Limited KENNY TANG SING HING Deutsche Bank ESTHER CHWEI SWS Research Co Ltd ROBERT HU Standard Chartered PETER O'BRIEN Goldman Sachs NING MA HSBC JAMES GARNER Barclays Capital MARK KELLOCK EVA Dimensions TEAM COVERAGE Capital Securities Corp TEAM COVERAGE Daiwa Securities Capital Markets Co. JENNIFER LAW Bank of China International SUN PENG Mirae Asset Securities IVAN CHEUNG RBS YANAN WANG Phillip Securities CHEN XINGYU Guotai Junan FELIX LUO Citic Securities Co., Ltd HUANG HUAMIN Sun Hung Kai Securities KENIX LAI

Source EXCH MF-AGG MF-AGG MF-AGG MF-AGG Short MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG Short MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation buy underweight hold hold buy hold underperform neutral Equalwt/In-Line neutral neutral hold neutral fully valued underperform neutral hold buy hold underperform in-line neutral/neutral neutral underwt/positive sell hold outperform hold hold buy hold buy overweight buy

Amt Held % Out 367'357'553 4.94 272'642'833 3.66 195'539'000 2.63 144'535'500 1.94 120'012'000 1.61 (115'700'761) -1.55 94'100'000 1.26 83'335'910 1.12 66'324'535 0.89 50'880'058 0.68 47'912'000 0.64 (39'424'538) -0.53 38'401'053 0.52 34'090'000 0.46 31'634'000 0.43 21'078'342 0.28 18'713'000 0.25 17'756'292 0.24 15'476'000 0.21 13'944'000 0.19

Weighting

Change 5 1 3 3 5 3 1 3 3 3 3 3 3 2 1 3 3 5 3 1 3 3 3 1 1 3 5 3 3 5 3 5 5 5

M M M M M M M M M M M M M D M M M N M D M D D M D M M M M M M M M M

Latest Chg 562'000 (103'000) (30'615'000) (1'682'000) 578'662 (427'000) (7'305'000) (2'568'331) (67'019'775) 1'200'000 (9'612'000) (8'496'000) (6'751'000) (977'000)

Target Price 34 20 24 22 29 23 21 25 22 25 23 22 23 24 22 21 22 24 24 19 22 23 23 24 #N/A N/A #N/A N/A 33 22 20 36 35 38 45 35

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 23.02.2011 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Investment Advisor 31.12.2011 Investment Advisor 23.02.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 03.02.2012 Investment Advisor 31.10.2011 Investment Advisor 30.06.2011 Investment Advisor 31.10.2011 Investment Advisor 30.09.2011 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 31.05.2011 Mutual Fund Manager 31.10.2011 Investment Advisor

Date Not Provided 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month 12 month Not Provided 6 month Not Provided

Date 12.03.2012 09.03.2012 08.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 06.03.2012 06.03.2012 06.03.2012 06.03.2012 06.03.2012 02.03.2012 29.02.2012 17.02.2012 17.02.2012 17.02.2012 10.02.2012 08.02.2012 25.01.2012 17.01.2012 16.01.2012 09.01.2012 02.01.2012 16.12.2011 01.11.2011 28.10.2011 18.10.2011 01.08.2011 12.05.2011 02.04.2011 25.06.2010 10.07.2009


27.02.2013

China Merchants Holdings International Co Ltd China Merchants Holdings International Company Limited, through its subsidiaries and associated companies, operates container and cargo terminals, port transportation, and airport cargo handling. The Company also manufactures containers, paint, and trailers as well as operates toll road, shipping, property, and dealing securities businesses.

Price/Volume

12/2011 01/yy 29.00 21.00 2'319'805.00 27 -6.90% 28.57% 71.88% 2'491.6 67'274.10 24'698.00 0.0 11'355.0 7'774.00 93'813.10

14.0 M 12.0 M 10.0 M 8.0 M

15

6.0 M

10

4.0 M

5

2.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 4'277.00 EBIT 2'865.00 Operating Margin 30.25% Pretax Margin 81.16% Return on Assets 3.85% Return on Common Equity 8.02% Return on Capital 7.25% Asset Turnover 0.11% Margin Analysis Gross Margin 42.8% EBITDA Margin 43.5% EBIT Margin 29.4% Net Income Margin 58.8% Structure Current Ratio 1.30 Quick Ratio 0.77 Debt to Assets 28.36% Tot Debt to Common Equity 56.90% Accounts Receivable Turnover 7.88 Inventory Turnover 1.37

1.00

16.0 M

30 20

Latest Fiscal Year: LTM as of: 52-Week High (22.01.2013) 52-Week Low (05.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 144 HK EQUITY YTD Change 144 HK EQUITY YTD % CHANGE

1.20

18.0 M

35 25

Valuation Analysis

Price/ Cash Flow

40

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

3.33 1.09 1'141.37 4.55% 8.65% 1.093 22 3.182 3'017'659 4'187'924 3'521'568 FY+2

12/12 Y 12/13 Y 9'495.4 9'696.2 10.24x 10.18x 5'275.4 5'539.2 17.78x 16.94x 3'613.4 4'177.6 18.22x 15.85x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

17.02.2005 BBB STABLE 3.73 2.02 3.33 6.29 56.9% 31.1% 0.11 0.32 46.45 266.25 16.30 260.77

Sales/Revenue/Turnover

7'000.0 6'000.0 5'000.0

0.80

4'000.0 0.60

3'000.0

0.40

2'000.0 1'000.0

0.20

0.0 0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Merchants Holdings International Co Ltd Holdings By:

All

Holder Name CHINA MERCHANTS UNIO DAVIS SELECTED ADVIS FIRST STATE INVESTME FIRST STATE INVESTME FIRST STATE INVESTME VANGUARD GROUP INC THORNBURG INVESTMENT T ROWE PRICE ASSOCIA BLACKROCK FUND ADVIS ARTIO GLOBAL MANAGEM BEST WINNER INVESTME PRUDENTIAL ASSET MGM CAPITAL WORLD INVEST MATTHEWS INTERNATION HARDING LOEVNER LP FIDELITY INTERNATION STATE STREET GLOBAL BLACKROCK GROUP LIMI INVESTEC ASSET MANAG FIRST STATE INVEST I

Firm Name Nomura RBS Goldman Sachs Jefferies Morgan Stanley Deutsche Bank China International Capital Corp JPMorgan CLSA Asia Pacific Markets Guotai Junan HSBC Standard Chartered DBS Vickers UOB Kay Hian EVA Dimensions Citi Barclays Capital Credit Suisse Citic Securities Co., Ltd BNP Paribas Equity Research SWS Research Co Ltd China Merchants Securities

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a

Analyst JIM WONG OSBERT TANG SIMON CHEUNG CHRISTIE JU EDWARD XU MICHAEL LEE YANG XIN KAREN LI PHILIP CHOW JASON SONG PARASH JAIN CLAIRE TENG KEN HE LAWRENCE LI TEAM COVERAGE VIVIAN WEI TAO JON WINDHAM INGRID WEI SIMON YEUNG SARAH LIU LEO FAN YU HUANGYAN

Source Co File Co File EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH

Recommendation buy hold neutral/neutral buy Overwt/In-Line buy reduce underweight buy neutral neutral in-line buy buy sell sell overwt/neutral outperform hold hold outperform buy

Amt Held 1'332'525'504 145'910'554 59'171'667 48'515'365 48'162'047 41'060'210 28'305'800 21'560'000 19'646'000 17'410'943 17'121'762 16'695'100 14'689'347 12'522'581 10'872'032 10'362'181 9'890'541 8'087'010 7'788'000 7'357'729

% Out 53.85 5.9 2.39 1.96 1.95 1.66 1.14 0.87 0.79 0.7 0.69 0.67 0.59 0.51 0.44 0.42 0.4 0.33 0.31 0.3

Weighting

Change 5 3 3 5 5 5 2 1 5 3 3 3 5 5 1 1 5 5 3 3 5 5

M M M M M M D M M M D M M M M N U M D M M M

Latest Chg 134'341 18'873'000 2'086'000 12'000 1'320'000 2'205'967 181'798 (812'000) 121'791 4'308'117 190'839 (12'000) 224'000 -

Target Price 32 26 30 38 33 32 19 20 31 23 27 24 28 30 #N/A N/A 18 26 28 26 26 33 17

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2010 Government 31.12.2010 Investment Advisor 16.01.2012 Investment Advisor 31.10.2011 Mutual Fund Manager 31.10.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.10.2011 Investment Advisor 31.12.2010 n/a 06.10.2011 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 16.01.2012 n/a

Date Not Provided 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 6 month 12 month Not Provided Not Provided

Date 09.03.2012 28.02.2012 27.02.2012 24.02.2012 22.02.2012 13.02.2012 06.02.2012 27.01.2012 20.01.2012 19.01.2012 13.01.2012 12.12.2011 08.12.2011 05.12.2011 30.11.2011 29.11.2011 11.10.2011 23.09.2011 31.08.2011 21.06.2011 25.06.2010 23.02.2009


27.02.2013

China Mobile Ltd China Mobile Limited, through its subsidiaries, provides cellular telecommunications and related services in the People's Republic of China and Hong Kong SAR.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (14.08.2012) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 941 HK EQUITY YTD Change 941 HK EQUITY YTD % CHANGE

12/2011 09/yy 92.60 76.50 13'757'144.00 84.95 -8.26% 11.05% 52.80% 20'100.5 1'707'535.38 30'301.00 0.0 1'355.0 332'946.00 1'008'336.98

Fiscal Year Ended

LTM-4Q

80.0 M 70.0 M 60.0 M 50.0 M 40.0 M 30.0 M 20.0 M 10.0 M .0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

LTM

FY+1

4.03 0.62 5'213.56 8.98% -5.87% 0.620 37 3.514 15'392'830 19'557'110 17'771'670 FY+2

FQ+1

FQ+2

09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 477'769.0 516'434.0 561'544.8 596'848.2 149'587.6 0.00x 0.00x 1.81x 1.62x 0.0 0.0 252'371.3 256'872.7 63'369.0 0.00x 0.00x 4.00x 3.93x 118'470.0 124'373.0 126'054.0 126'599.8 31'984.6 0.00x 0.00x 10.96x 10.95x S&P Issuer Ratings Long-Term Rating Date 16.12.2010 Long-Term Rating AALong-Term Outlook STABLE Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. 455.22 (EBITDA-Capex)/Interest Exp. 235.02 Net Debt/EBITDA -1.42 Total Debt/EBITDA 0.12 Reference Total Debt/Equity 4.7% Total Debt/Capital 4.5% Asset Turnover 0.56 Net Fixed Asset Turnover 1.15 Accounts receivable turnover-days 6.98 Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle Sales/Revenue/Turnover

1.20

600'000.0

1.00

500'000.0

0.80

400'000.0

0.60

90.0 M

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 257'202.00 EBIT 159'710.00 Operating Margin 30.25% Pretax Margin 31.55% Return on Assets 13.03% Return on Common Equity 19.60% Return on Capital 18.76% Asset Turnover 0.56% Margin Analysis Gross Margin EBITDA Margin 47.0% EBIT Margin 28.9% Net Income Margin 23.8% Structure Current Ratio 1.40 Quick Ratio 1.25 Debt to Assets 3.18% Tot Debt to Common Equity 4.67% Accounts Receivable Turnover 52.44 Inventory Turnover Price/ Cash Flow

100 90 80 70 60 50 40 30 20 10 0 m-11

300'000.0 200'000.0

0.40

100'000.0 0.20

0.0 0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Mobile Ltd Holdings By:

All

Holder Name CHINA MOBILE HK BVI VANGUARD GROUP INC BLACKROCK FUND ADVIS ABERDEEN ASSET MANAG SCHRODER INVESTMENT HARBOR CAPITAL ADVIS STATE STREET GLOBAL FIDELITY INTERNATION FRANKLIN RESOURCES I BLACKROCK GROUP LIMI BANK OF NEW YORK MEL SCHRODER KOREA LTD ROBECO INVESTOR SERV SHINHAN BNP PARIBAS INVESCO LTD THORNBURG INVESTMENT FIDELITY MANAGEMENT COMGEST GROWTH PLC STATE STREET CORP FIRST STATE INVESTME

Firm Name

Portfolio Name n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

HSBC TUCKER GRINNAN Mirae Asset Securities ERIC WEN Credit Suisse COLIN MCCALLUM Jefferies CYNTHIA JINHONG MENG Goldman Sachs DONALD LU Nomura DANNY CHU Barclays Capital ANAND RAMACHANDRAN Yuanta Securities Investment ConsultingKELVIN HO Bank of China International MICHAEL MENG BOCOM International Holdings LI ZHIWU RBS TOMMY MOK Citi BIN LIU BNP Paribas Equity Research ALEN LIN SWS Research Co Ltd JIM TANG China International Capital Corp CHEN HAOFEI Mizuho Securities MARVIN LO DBS Vickers TAM TSZ-WANG EVA Dimensions TEAM COVERAGE Standard Chartered STEVEN LIU Pacific Crest Securities STEVE CLEMENT Ji Asia NEIL JUGGINS Kim Eng Securities ANDY POON UOB Kay Hian VICTOR YIP Morgan Stanley NAVIN KILLA JPMorgan LUCY LIU Daiwa Securities Capital Markets Co. ALAN KAM CLSA Asia Pacific Markets ELINOR LEUNG Deutsche Bank ALAN HELLAWELL AMTD Financial Planning Limited KENNY TANG SING HING Macquarie LISA SOH Capital Securities Corp TEAM COVERAGE Citic Securities Co., Ltd PATRICK CHOI Haitong International Securities ALEX LEE ICBC International Securities KARY SEI

Source 20F MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation overweight buy outperform hold Buy/Neutral buy equalwt/neutral hold hold long-term buy buy buy buy neutral hold neutral hold buy outperform outperform neutral sell buy Equalwt/In-Line neutral hold buy hold buy outperform hold buy buy buy

Amt Held 14'889'080'691 238'108'692 143'181'500 138'953'656 59'172'620 53'719'500 53'684'093 44'569'290 40'322'968 39'334'210 32'369'249 21'386'000 20'210'500 19'496'296 18'647'500 17'558'707 15'890'001 15'507'000 14'693'798 14'578'000

% Out 74.16 1.19 0.71 0.69 0.29 0.27 0.27 0.22 0.2 0.2 0.16 0.11 0.1 0.1 0.09 0.09 0.08 0.08 0.07 0.07

Weighting

Change 5 5 5 3 5 5 3 3 3 5 5 5 5 3 3 3 3 5 5 5 3 1 5 3 3 3 5 3 5 5 3 5 5 5

U M U M U M M M M M M M M M M N M U M M M M M M M M M M M M M M M M

Latest Chg (1'036'151) 2'923'634 (56'500) 2'909'000 (3'991'000) (960'500) 502'290 10'223'214 817'000 (1'452'500) (7'335'000) (1'693'000) (258'500) (5'938'000) 5'706'500 (3'613'000) -

Target Price 100 105 101 83 95 91 85 83 85 92 94 95 93 75 75 74 77 #N/A N/A 88 86 78 64 95 85 85 78 92 83 85 79 70 82 90 89

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.03.2011 Corporation 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.01.2012 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 30.12.2011 Investment Advisor 31.01.2012 Investment Advisor 08.03.2012 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Mutual Fund Manager 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 09.03.2012 Investment Advisor 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 31.10.2011 Investment Advisor

Date Not Provided 12 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided 12 month Not Provided 12 month Not Provided 6 month 12 month Not Provided

Date 12.03.2012 12.03.2012 09.03.2012 09.03.2012 08.03.2012 08.03.2012 07.03.2012 27.02.2012 21.02.2012 21.02.2012 16.02.2012 16.02.2012 15.02.2012 14.02.2012 08.02.2012 01.02.2012 20.01.2012 28.12.2011 09.12.2011 06.12.2011 25.10.2011 21.10.2011 21.10.2011 20.10.2011 20.10.2011 20.10.2011 20.10.2011 17.10.2011 22.09.2011 13.09.2011 19.08.2011 19.08.2011 27.06.2011 17.03.2011


27.02.2013

China Overseas Land & Investment Ltd China Overseas Land & Investment Limited, through its subsidiaries, develops and invests in properties, constructs buildings, invests in treasury securities, and infrastructure projects. The Company also provides civil engineering, foundation engineering, and real estate agency and management services.

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (07.01.2013) 52-Week Low (30.03.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 688 HK EQUITY YTD Change 688 HK EQUITY YTD % CHANGE

Price/Volume

12/2011 01/yy 25.60 14.12 26'169'669.00 22.8 -10.94% 61.43% 72.12% 8'172.5 186'333.42 43'678.95 0.0 273.0 17'841.48 212'938.09

Fiscal Year Ended

1.20

120.0 M 100.0 M 80.0 M 60.0 M 40.0 M 20.0 M .0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 19'021.74 EBIT 18'978.15 Operating Margin 39.06% Pretax Margin 48.92% Return on Assets 9.33% Return on Common Equity 23.79% Return on Capital 14.40% Asset Turnover 0.29% Margin Analysis Gross Margin 44.9% EBITDA Margin 38.7% EBIT Margin 38.6% Net Income Margin 30.9% Structure Current Ratio 1.88 Quick Ratio 0.28 Debt to Assets 24.82% Tot Debt to Common Equity 62.12% Accounts Receivable Turnover 22.01 Inventory Turnover 0.30 Price/ Cash Flow

20 18 16 14 12 10 8 6 4 2 0 m-11

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.54 1.44 3'801.47 43.72% -1.30% 1.445 38 4.158 29'553'490 24'297'130 22'322'260 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 66'420.4 80'292.6 3.17x 2.64x 24'416.7 28'422.9 8.72x 7.49x 15'611.8 18'524.1 12.01x 10.09x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

25.03.2010 BBB STABLE 13.21 12.10 1.31 2.63 62.1% 38.2% 0.29 2.84 16.63 1228.62 78.70 1130.07

Sales/Revenue/Turnover

50'000.0 45'000.0

1.00

40'000.0 35'000.0

0.80 0.60 0.40

30'000.0 25'000.0 20'000.0 15'000.0 10'000.0

0.20

5'000.0 0.0

0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Overseas Land & Investment Ltd Holdings By:

All

Holder Name CHINA OVERSEAS HOLDI SILVER LOT DEVELOPME JP MORGAN CHASE & CO DEUTSCHE BANK AG CARMIGNAC GESTION DEUTSCHE BANK AG VANGUARD GROUP INC JANUS CAPITAL MANAGE FIDELITY INTERNATION SCHRODER INVESTMENT EUROPEAN INVESTORS I BLACKROCK FUND ADVIS SHINHAN BNP PARIBAS COHEN & STEERS CAPIT STATE STREET GLOBAL LAZARD GLOBAL ACTIVE MORGAN STANLEY ROBECO INVESTOR SERV SCHRODER KOREA LTD BLACKROCK GROUP LIMI

Firm Name

Portfolio Name n/a n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Yuanta Securities Investment ConsultingZHAO ZHENYI Goldman Sachs WANG YI DBS Vickers CAROL WU JPMorgan LUCIA KWONG BNP Paribas Equity Research FRANK CHEN Nomura ALVIN WONG Standard Chartered RAYMOND CHENG Mizuho Securities ALAN JIN Mirae Asset Securities STEPHANIE LAU UOB Kay Hian SYLVIA WONG Guotai Junan DONALD YU Jefferies CHRISTIE JU Credit Suisse JINSONG DU Citi OSCAR CHOI EVA Dimensions TEAM COVERAGE Ji Asia WU GONGLIANG GuoSen Securities Co Ltd HUI CAO Macquarie DAVID NG CLSA Asia Pacific Markets NICOLE WONG HSBC MICHELLE KWOK KGI Securities ALICE JI CCB International Securities Ltd ROSE ZHANG SWS Research Co Ltd KRIS LI China International Capital Corp PETER HONGWEI BAI Morgan Stanley BRIAN LEUNG CIMB JOHNSON HU Bank of China International CHRISTINA NGAI Daiwa Securities Capital Markets Co. DANNY BAO Kim Eng Securities IVAN CHEUNG Deutsche Bank TONY TSANG RBS FAN TSO Masterlink Securities TEAM COVERAGE Citic Securities Co., Ltd GARRICK CHENG Everbright Securities Co., Ltd TIMOTHY YEUNG Capital Securities Corp LANTIS LI

Source EXCH EXCH EXCH EXCH MF-AGG Short MF-AGG MF-AGG MF-AGG MF-AGG Research MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation buy neutral/attractive buy overweight buy buy in-line buy buy buy buy buy underperform buy hold sell buy outperform buy overweight outperform neutral outperform buy Equalwt/Attractive outperform hold buy hold buy buy hold buy hold buy

Amt Held % Out 3'837'380'380 46.95 505'276'928 6.18 379'327'162 4.64 355'640'452 4.35 233'369'969 2.86 (169'866'271) -2.08 160'615'313 1.97 137'956'000 1.69 102'335'861 1.25 68'669'080 0.84 67'569'354 0.83 58'635'040 0.72 43'445'652 0.53 37'990'180 0.46 36'529'626 0.45 28'280'260 0.35 22'167'560 0.27 21'460'000 0.26 21'170'000 0.26 21'045'760 0.26

Weighting

Change 5 3 5 5 5 5 3 5 5 5 5 5 1 5 3 1 5 5 5 5 5 3 5 5 3 5 3 5 3 5 5 3 5 3 5

M M M M M M D M M M M M M M M N M M M M M M M M M M M M D M M N U M M

Latest Chg 488'550 (128'525'000) 67'801'042 51'006'000 2'231'960 34'000 2'328'000 4'723'760 430'058 194'900 (1'542'000) 6'180'000 (32'000)

Target Price 19 19 20 18 18 17 17 20 19 19 19 19 11 18 #N/A N/A 12 17 15 17 21 17 15 15 21 16 19 11 16 18 23 19 18 17 14 16

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2011 Government 31.12.2011 n/a 20.09.2011 Investment Advisor 03.11.2011 Investment Advisor 30.09.2011 Investment Advisor 03.11.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Investment Advisor 08.03.2012 Investment Advisor 30.06.2011 Investment Advisor 31.01.2012 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Mutual Fund Manager 08.03.2012 Investment Advisor

Date Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month 6 month 6 month 6 month Not Provided

Date 12.03.2012 07.03.2012 07.03.2012 05.03.2012 01.03.2012 27.02.2012 23.02.2012 22.02.2012 21.02.2012 20.02.2012 16.02.2012 14.02.2012 02.02.2012 31.01.2012 31.01.2012 13.01.2012 11.01.2012 05.01.2012 04.01.2012 03.01.2012 28.12.2011 22.12.2011 09.12.2011 02.12.2011 23.11.2011 10.11.2011 24.10.2011 20.10.2011 10.08.2011 09.08.2011 08.07.2011 23.05.2011 18.03.2011 08.02.2011 20.08.2010


27.02.2013

China Petroleum & Chemical Corp China Petroleum and Chemical Corporation (Sinopec) refines, produces and trades petroleum and petrochemical products such as gasoline, diesel, jet fuel, kerosene, ethylene, synthetic fibers, synthetic rubber, synthetic resins, and chemical fertilizers. Also, The company explores for and produces crude oil and natural gas in China.

Price/Volume 12

250.0 M

10

200.0 M

8

150.0 M

6

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (30.01.2013) 52-Week Low (11.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 14.02.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 386 HK EQUITY YTD Change 386 HK EQUITY YTD % CHANGE

12/2011 06/yy 9.57 6.38 126'478'526.00 8.73 -8.78% 36.83% 72.41% 19'625.7 789'984.94 240'555.00 0.0 35'016.0 25'197.00 940'952.10

100.0 M

4

50.0 M

2 0 m-11

.0 M a-11 m-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended

LTM-4Q

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 170'962.00 EBIT 107'146.00 Operating Margin 4.35% Pretax Margin 4.24% Return on Assets 5.00% Return on Common Equity 12.12% Return on Capital 8.66% Asset Turnover 2.27% Margin Analysis Gross Margin EBITDA Margin 6.1% EBIT Margin 3.5% Net Income Margin 3.0% Structure Current Ratio 0.77 Quick Ratio 0.25 Debt to Assets 21.02% Tot Debt to Common Equity 50.93% Accounts Receivable Turnover 27.06 Inventory Turnover Price/ Cash Flow

LTM

FY+1

4.28 0.82 18'404.72 7.05% -0.57% 0.824 32 3.844 ######### ######### 89'212'220 FY+2

FQ+1

FQ+2

03/yy 06/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 ######### ######### ######### ######### 728'398.5 688'272.0 3.07x 4.14x 0.37x 0.36x 108'265.0 156'276.0 166'773.5 192'193.6 0.00x 0.00x 5.64x 4.90x 64'068.0 63'750.0 61'243.7 74'980.9 17'385.0 14'623.0 8.84x 0.00x 10.05x 8.31x 9.67x 10.01x S&P Issuer Ratings Long-Term Rating Date 16.12.2010 Long-Term Rating A+ Long-Term Outlook STABLE Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. 18.19 (EBITDA-Capex)/Interest Exp. 4.17 Net Debt/EBITDA 1.87 Total Debt/EBITDA 1.96 Reference Total Debt/Equity 50.9% Total Debt/Capital 32.2% Asset Turnover 2.27 Net Fixed Asset Turnover 3.74 Accounts receivable turnover-days 13.52 Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle Sales/Revenue/Turnover

10.00

2'000'000.0

9.00

1'800'000.0

8.00

1'600'000.0

7.00

1'400'000.0

6.00

1'200'000.0

5.00 4.00

1'000'000.0 800'000.0

3.00

600'000.0

2.00

400'000.0

1.00

200'000.0

0.00 04.01.2008

j-11

0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Petroleum & Chemical Corp Holdings By:

All

Holder Name JP MORGAN CHASE & CO FRANKLIN RESOURCES I GOVT OF SINGAPORE IN VANGUARD GROUP INC BLACKROCK FUND ADVIS CH PETROLEUM SHENGJU FIDELITY INTERNATION BLACKROCK INC SCHRODER INVESTMENT STATE STREET GLOBAL BLACKROCK GROUP LIMI ROBECO INVESTOR SERV FIDELITY MANAGEMENT SHINHAN BNP PARIBAS INVESTEC ASSET MANAG CARNEGIE ASSET MANAG INVESCO ASSET MANAGE INVESCO LTD SCHRODER KOREA LTD STATE STREET CORP

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Nomura SONIA SONG Sanford C. Bernstein & Co NEIL BEVERIDGE BOCOM International Holdings FEI WU Barclays Capital SCOTT DARLING Goldman Sachs NILESH BANERJEE Standard Chartered YOSSAVEE SUTTIKULPANICH Credit Suisse DAVID HEWITT Morgan Stanley WEE KIAT TAN Citi GRAHAM CUNNINGHAM CLSA Asia Pacific Markets SIMON POWELL UOB Kay Hian YAN SHI Capital Securities Corp TEAM COVERAGE BNP Paribas Equity Research CHENG KHOO AMTD Financial Planning Limited KENNY TANG SING HING Jefferies LABAN YU Yuanta Securities Investment ConsultingKIM-CHONG TAN ICBC International Securities ANNA YU DBS Vickers WEE KEAT LEE Citic Securities Co., Ltd YIN XIAODONG Macquarie JAMES HUBBARD Mizuho Securities ANDREW S F CHAN Daiwa Securities Capital Markets Co. ADRIAN LOH Guotai Junan GRACE LIU Deutsche Bank DAVID HURD Mirae Asset Securities GORDON KWAN JPMorgan BRYNJAR EIRIK BUSTNES EVA Dimensions TEAM COVERAGE GuoSen Securities Co Ltd STEVEN LU RBS DANNY HUANG Bank of China International LAWRENCE LAU SWS Research Co Ltd YE RONG HSBC PAUL SPEDDING China International Capital Corp BIN GUAN Masterlink Securities LI XIN China Galaxy Securities LI GUOHONG Industrial Securities FANG LEI

Source EXCH EXCH EXCH MF-AGG MF-AGG EXCH MF-AGG Short MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation neutral market perform neutral equalwt/positive Buy/Neutral in-line neutral Overwt/Attractive neutral buy hold buy buy buy hold buy buy buy buy neutral neutral hold buy buy buy overweight buy buy buy buy buy underweight buy hold buy strong buy

Amt Held % Out 1'436'156'868 8.56 1'006'669'203 6 796'605'154 4.75 652'946'437 3.89 457'636'000 2.73 425'500'000 2.54 243'428'285 1.45 (209'290'946) -1.25 150'840'000 0.9 149'492'103 0.89 140'787'528 0.84 138'099'000 0.82 112'401'936 0.67 84'830'342 0.51 83'050'000 0.49 80'601'071 0.48 78'718'000 0.47 68'057'984 0.41 65'080'000 0.39 55'551'734 0.33

Weighting

Change 3 3 3 3 5 3 3 5 3 5 3 5 5 5 3 5 5 5 5 3 3 3 5 5 5 5 5 5 5 5 5 1 5 3 5 5

M D D M M M M M D M D M M N M M U M M M M M M U M M M M M M M M M M M N

Latest Chg (5'418'000) (140'000) 103'916'150 116'780'000 1'223'565 (1'300'000) 1'470'000 11'132'067 (52'106'000) 5'532'000 (406'000) (9'982'000) 16'822'000 (2'142'000) -

Target Price 9 10 10 10 11 8 9 11 10 11 10 11 11 10 9 12 11 10 10 8 8 8 9 11 10 9 #N/A N/A 11 9 8 9 6 11 9 #N/A N/A #N/A N/A

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 15.02.2012 Investment Advisor 26.01.2012 Investment Advisor 22.11.2011 Government 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 09.01.2012 n/a 30.12.2011 Investment Advisor 29.02.2012 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 30.09.2011 Investment Advisor 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 31.05.2011 Mutual Fund Manager 09.03.2012 Investment Advisor 30.09.2011 Mutual Fund Manager 08.03.2012 Investment Advisor

Date Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided 12 month Not Provided Not Provided 12 month 6 month 12 month 12 month Not Provided Not Provided 12 month 12 month 9 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided 12 month 6 month Not Provided Not Provided

Date 12.03.2012 09.03.2012 07.03.2012 05.03.2012 01.03.2012 24.02.2012 23.02.2012 21.02.2012 20.02.2012 17.02.2012 15.02.2012 09.02.2012 09.02.2012 08.02.2012 03.02.2012 19.01.2012 19.01.2012 11.01.2012 11.01.2012 06.01.2012 06.01.2012 06.01.2012 06.01.2012 04.01.2012 04.01.2012 15.12.2011 30.11.2011 22.11.2011 01.11.2011 28.10.2011 28.10.2011 29.08.2011 29.08.2011 01.04.2011 30.10.2009 20.07.2009


27.02.2013

China Resources Enterprise Ltd China Resources Enterprise Ltd, through its subsidiaries, focuses on the consumer businesses in both Hong Kong and the Chinese Mainland, with core activities being retail, beverage, food processing and distribution, textile, and property investment.

Price/Volume 40

30.0 M

35

25.0 M

30 20.0 M

25 20

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (15.03.2012) 52-Week Low (26.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 20.02.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 291 HK EQUITY YTD Change 291 HK EQUITY YTD % CHANGE

12/2011 09/yy 30.80 18.88 1'997'523.00 24.95 -18.99% 32.15% 51.76% 2'402.3 59'936.37 15'534.00 0.0 12'628.0 18'256.00 70'920.37

15.0 M

15

10.0 M

10 5.0 M

5 0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended

LTM-4Q

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 7'125.00 EBIT 4'231.00 Operating Margin 3.84% Pretax Margin 4.93% Return on Assets 3.13% Return on Common Equity 9.83% Return on Capital 7.26% Asset Turnover 1.08% Margin Analysis Gross Margin 24.8% EBITDA Margin 6.2% EBIT Margin 3.6% Net Income Margin 2.6% Structure Current Ratio 0.96 Quick Ratio 0.37 Debt to Assets 13.67% Tot Debt to Common Equity 42.73% Accounts Receivable Turnover 76.44 Inventory Turnover 5.10 Price/ Cash Flow

LTM

FY+1

1.88 0.93 1'166.01 -10.49% -10.73% 0.933 27 3.741 2'158'397 3'067'653 3'130'773 FY+2

FQ+1

FQ+2

12/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 64'131.0 103'427.0 129'029.5 152'533.0 29'841.5 0.00x 0.00x 0.54x 0.46x 0.0 0.0 8'803.3 9'638.5 0.00x 0.00x 8.06x 7.36x 2'913.0 6'474.0 1'875.1 2'477.1 0.00x 0.00x 27.60x 24.01x S&P Issuer Ratings Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

43.71 0.56 -0.27 2.98 42.7% 24.1% 1.08 2.46 4.79 71.72 65.16 17.86

Sales/Revenue/Turnover

12.00

100'000.0 90'000.0

10.00

80'000.0 70'000.0

8.00

60'000.0

6.00

50'000.0 40'000.0

4.00

30'000.0 20'000.0

2.00 0.00 04.01.2008

10'000.0 0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Resources Enterprise Ltd Holdings By:

All

Holder Name GLOBE FAME INVESTMEN GENESIS ASSET MANAGE ARTIO GLOBAL MANAGEM JP MORGAN CHASE & CO VANGUARD GROUP INC CAPITAL WORLD INVEST FIRST STATE INVESTME MATTHEWS INTERNATION BLACKROCK FUND ADVIS FRANKLIN RESOURCES I MIRAE ASSET INVESTME SHINHAN BNP PARIBAS STATE STREET GLOBAL ABERDEEN ASSET MANAG DELTA LLOYD FUND MAN FIDELITY INVESTMENTS SKANDIA GLOBAL FUNDS INVESCO ASSET MANAGE JPMORGAN ASSET MANAG BLACKROCK GROUP LIMI

Firm Name Standard Chartered Capital Securities Corp Haitong International Securities Goldman Sachs BNP Paribas Equity Research JPMorgan SinoPac BOCOM International Holdings AMTD Financial Planning Limited GuoSen Securities Co Ltd Morgan Stanley Kim Eng Securities Nomura DBS Vickers CLSA Asia Pacific Markets KGI Securities Jefferies Barclays Capital Religare Capital Markets EVA Dimensions Mirae Asset Securities Macquarie Ji Asia Deutsche Bank China International Capital Corp Guotai Junan

Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst CHARLES YAN TEAM COVERAGE CHO FOOK TAT SIMON CHEUNG CHARLIE Y CHEN KURUMLU EBRU SENER KATHARINE SONG PHOEBE WONG KENNY TANG SING HING SEASON SUN LILLIAN LOU JACQUELINE KO EMMA LIU TITUS WU XIAOPO WEI MICHELLE CHEN JESSIE GUO VINEET SHARMA KA LEONG LO TEAM COVERAGE SELINA SIA LINDA HUANG WU GONGLIANG ANNE LING HAIYAN GUO FRANK XU

Source Co File EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation outperform buy hold Buy/Neutral buy neutral buy neutral buy buy Equalwt/Attractive buy neutral buy buy outperform buy overwt/neutral sell sell buy outperform sell buy accumulate accumulate

Amt Held 1'232'764'380 144'188'662 119'860'360 108'953'953 67'620'195 49'032'000 46'828'900 31'884'000 19'924'000 19'218'000 13'846'000 13'061'281 10'720'183 10'450'000 9'271'494 8'018'000 7'812'000 7'458'000 6'196'000 6'192'400

% Out 51.38 6.01 5 4.54 2.82 2.04 1.95 1.33 0.83 0.8 0.58 0.54 0.45 0.44 0.39 0.33 0.33 0.31 0.26 0.26

Weighting

Change 5 5 3 5 5 3 5 3 5 5 3 5 3 5 5 5 5 5 1 1 5 5 1 5 4 4

M M U M M M U M M N N M M M U M M N N M M M D M M M

Latest Chg (2'455'933) 44'202'000 706'000 8'000 208'000 (1'786'000) (1'922'000) 125'169 2'210'000 (138'467) 2'800'000 (18'000)

Target Price 33 32 30 36 32 25 33 26 29 36 29 34 34 30 33 42 29 31 23 #N/A N/A 29 31 24 36 34 33

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 30.06.2011 16.11.2011 14.10.2010 19.04.2011 31.12.2011 31.12.2011 31.10.2011 30.12.2011 08.03.2012 31.12.2011 30.09.2011 30.09.2011 30.06.2011 31.01.2012 30.12.2011 31.12.2010 31.10.2011 29.07.2011 14.04.2011 08.03.2012

Date 12 month Not Provided Not Provided 12 month 12 month 12 month 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month 12 month Not Provided

Inst Type Government Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Mutual Fund Manager Mutual Fund Manager Investment Advisor Investment Advisor

Date 09.03.2012 09.03.2012 29.02.2012 27.02.2012 27.02.2012 20.02.2012 16.02.2012 16.02.2012 14.02.2012 08.02.2012 03.02.2012 02.02.2012 30.01.2012 27.01.2012 06.01.2012 21.12.2011 20.12.2011 14.12.2011 06.12.2011 30.11.2011 18.11.2011 11.11.2011 27.10.2011 26.08.2011 25.03.2011 07.03.2011


27.02.2013

China Resources Land Ltd China Resources Land Limited, through its subsidiaries, develops and invests in properties. The Company also provides corporate financing and electrical engineering services.

Price/Volume 18

70.0 M

16

60.0 M

14

50.0 M

12

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (30.01.2013) 52-Week Low (18.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1109 HK EQUITY YTD Change 1109 HK EQUITY YTD % CHANGE

12/2011 01/yy 24.50 12.40 6'779'866.00 21.85 -10.82% 76.21% 75.62% 5'827.4 127'328.66 60'725.36 0.0 6'046.1 11'908.09 179'698.03

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

40.0 M

8

30.0 M

6

20.0 M

4

10.0 M

2 0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 5'681.1 14.45x 1'732.8 47.37x 1'431.1 43.32x

10

31.12.2008 31.12.2009 9'365.8 16'650.2 6.52x 5.86x 2'554.7 4'888.1 23.89x 19.95x 1'994.0 4'303.8 20.70x 20.02x Profitability

31.12.2010 25'729.2 4.11x 8'905.8 11.88x 6'026.5 11.85x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

31.12.2011 35'794.8 3.47x 12'065.4 10.29x 8'070.0 8.45x 11'920.02 11'594.30 32.39% 40.15% 4.50% 14.58% 7.13% 0.20% 39.6% 34.3% 33.3% 22.5% 1.92 0.19 33.63% 100.68% 45.11 0.21

Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.05 1.46 1'856.44 49.63% 3.55% 1.465 38 4.579 8'350'291 9'374'310 10'562'510 FY+2

12/12 Y 12/13 Y 46'056.8 58'050.1 3.89x 3.03x 13'649.5 15'937.2 13.17x 11.28x 7'010.7 8'652.5 17.66x 14.74x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

03.05.2011 BBB STABLE 7.25 5.36 3.72 5.32 100.7% 47.8% 0.20 0.96 8.11 1706.91 38.47 1341.69

Sales/Revenue/Turnover

25.00

40'000.0 35'000.0

20.00

30'000.0 25'000.0

15.00

20'000.0 10.00

15'000.0 10'000.0

5.00

0.00 02.01.2009

5'000.0 0.0 02.07.2009

02.01.2010

02.07.2010

02.01.2011

02.07.2011

02.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Resources Land Ltd Holdings By:

All

Holder Name CRH LAND LTD JP MORGAN CHASE & CO VANGUARD GROUP INC FIDELITY INTERNATION MATTHEWS INTERNATION FIRST STATE INVESTME BLACKROCK FUND ADVIS MORGAN STANLEY ARTISAN PARTNERS HOL STATE STREET GLOBAL JP MORGAN CHASE & CO EUROPEAN INVESTORS I SHINHAN BNP PARIBAS UBS STRATEGY FUND MG CHINA INTERNATIONAL BLACKROCK GROUP LIMI INVESCO LTD RBC GLOBAL ASSET MAN COHEN & STEERS CAPIT FRANK RUSSELL TRUST

Firm Name

Portfolio Name n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Credit Suisse JINSONG DU JPMorgan LUCIA KWONG Citi OSCAR CHOI Macquarie DAVID NG DBS Vickers CAROL WU CIMB JOHNSON HU Kim Eng Securities IVAN CHEUNG China International Capital Corp ERIC YU ZHANG BNP Paribas Equity Research FRANK CHEN SWS Research Co Ltd KRIS LI UOB Kay Hian SYLVIA WONG Mirae Asset Securities STEPHANIE LAU Religare Capital Markets KAREN KWAN CMB International Capital Corp Ltd SAMSON MAN CCB International Securities Ltd ROSE ZHANG BOCOM International Holdings TONI HO CHI CHUNG Morgan Stanley BRIAN LEUNG Goldman Sachs WANG YI HSBC MICHELLE KWOK Nomura ALVIN WONG Standard Chartered RAYMOND CHENG Jefferies CHRISTIE JU Deutsche Bank TONY TSANG AMTD Financial Planning Limited KENNY TANG SING HING EVA Dimensions TEAM COVERAGE GuoSen Securities Co Ltd HUI CAO CLSA Asia Pacific Markets NICOLE WONG Daiwa Securities Capital Markets Co. DANNY BAO Bank of China International CHRISTINA NGAI Yuanta Securities Investment ConsultingTEAM COVERAGE Citic Securities Co., Ltd GARRICK CHENG RBS FAN TSO Everbright Securities Co., Ltd TIMOTHY YEUNG

Source EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG Short Research MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation outperform neutral buy outperform buy outperform buy buy hold outperform hold buy buy buy outperform long-term buy Equalwt/Attractive buy/attractive overweight buy outperform buy buy buy sell buy buy hold buy Under Review buy buy hold

Amt Held % Out 3'959'623'882 67.95 286'822'306 4.92 76'140'331 1.31 58'790'989 1.01 56'928'000 0.98 39'164'000 0.67 35'098'000 0.6 26'798'900 0.46 23'572'700 0.4 16'855'888 0.29 (16'452'706) -0.28 15'007'800 0.26 14'569'265 0.25 14'016'000 0.24 13'498'000 0.23 12'997'570 0.22 9'764'000 0.17 9'699'538 0.17 8'120'500 0.14 8'010'016 0.14

Weighting 5 3 5 5 5 5 5 5 3 5 3 5 5 5 5 5 3 5 5 5 5 5 5 5 1 5 5 3 5 #N/A N/A 5 5 3

Change U M M M M M M M M D M M M M M M D M M M M M M M M M M D M M M M M

Latest Chg 3'636'606 43'027'875 22'000 (3'472'000) (1'122'000) (948'461) 3'494'000 3'204'000 (42'000) (3'368'000) 2'000 (682'000) 1'099'538 7'898'000 2'716'150

Target Price 17 16 18 16 17 18 17 19 16 17 16 16 16 17 16 17 14 20 18 16 19 18 21 16 #N/A N/A 15 15 12 15 #N/A N/A 17 18 14

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 11.10.2011 Government 24.11.2011 Investment Advisor 31.12.2011 Investment Advisor 31.10.2011 Investment Advisor 30.12.2011 Investment Advisor 31.10.2011 Mutual Fund Manager 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 30.06.2011 Investment Advisor 24.11.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 30.11.2011 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Investment Advisor 31.10.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor

Date Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 6 month 12 month 6 month

Date 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 12.03.2012 11.03.2012 11.03.2012 11.03.2012 11.03.2012 10.03.2012 09.03.2012 07.03.2012 10.02.2012 31.01.2012 11.01.2012 04.01.2012 19.12.2011 24.10.2011 18.10.2011 22.08.2011 06.06.2011 08.02.2011


27.02.2013

China Resources Power Holdings Co Ltd China Resources Power Holdings Company Limited is a power generation company. The Company invests, develops, owns, and operates coal-fired power plants in China.

Price/Volume 18

35.0 M

16

30.0 M

14

25.0 M

12

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (14.02.2013) 52-Week Low (11.04.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 836 HK EQUITY YTD Change 836 HK EQUITY YTD % CHANGE

12/2011 01/yy 23.40 13.42 5'963'983.00 20.85 -10.90% 55.37% 75.95% 4'766.9 99'390.11 84'741.84 0.0 14'099.2 4'499.65 193'887.97

10

20.0 M

8

15.0 M

6

10.0 M

4

5.0 M

2 0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 13'647.50 EBIT 8'145.47 Operating Margin 13.42% Pretax Margin 11.30% Return on Assets 3.00% Return on Common Equity 10.61% Return on Capital 6.47% Asset Turnover 0.38% Margin Analysis Gross Margin EBITDA Margin 23.8% EBIT Margin 14.0% Net Income Margin 7.3% Structure Current Ratio 0.53 Quick Ratio 0.28 Debt to Assets 50.33% Tot Debt to Common Equity 178.51% Accounts Receivable Turnover 9.18 Inventory Turnover Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.44 0.48 1'729.24 44.51% 5.41% 0.479 28 4.679 5'506'095 5'905'570 6'381'736 FY+2

12/12 Y 12/13 Y 64'995.6 73'927.7 2.99x 2.67x 18'624.4 23'013.6 10.41x 8.42x 6'878.5 8'652.2 14.41x 11.31x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

19.04.2011 BBB NEG 3.32 0.35 5.35 5.80 178.5% 57.9% 0.38 0.65 39.88 -

Sales/Revenue/Turnover

20.00

60'000.0

18.00

50'000.0

16.00 14.00

40'000.0

12.00

30'000.0

10.00 8.00

20'000.0

6.00 4.00

10'000.0

2.00 0.00 04.01.2008

0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Resources Power Holdings Co Ltd Holdings By:

All

Holder Name FINETEX INTERNATIONA FIRST STATE INVESTME FIRST STATE INVESTME VANGUARD GROUP INC T ROWE PRICE ASSOCIA BLACKROCK INVESTMENT BLACKROCK FUND ADVIS PRUDENTIAL ASSET MGM SCHRODER INVESTMENT FIRST STATE INVEST I STATE STREET GLOBAL BLACKROCK GROUP LIMI SCHRODER KOREA LTD COLONIAL FIRST STATE MORGAN STANLEY TD ASSET MANAGEMENT SKANDIA GLOBAL FUNDS PRUDENTIAL ASSET MAN SHUAI TING WANG STATE STREET CORP

Firm Name

Portfolio Name n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios

Analyst

Sanford C. Bernstein & Co MICHAEL W PARKER DBS Vickers JUNE NG Deutsche Bank MICHAEL TONG Yuanta Securities Investment ConsultingMIN LI BNP Paribas Equity Research DAISY ZHANG HSBC GIUSEPPE JACOBELLI JPMorgan BORIS KAN UOB Kay Hian YAN SHI Jefferies JOSEPH FONG Guotai Junan LEO WU Standard Chartered LI EVAN Nomura IVAN LEE Bank of China International PETER YAO Mirae Asset Securities RICKY NG Credit Suisse EDWIN PANG GuoSen Securities Co Ltd VIVIAN FU Goldman Sachs FRANKLIN CHOW Citi PIERRE LAU KGI Securities CHEN JUDITH Macquarie SERENA LI Daiwa Securities Capital Markets Co. DAVE DAI EVA Dimensions TEAM COVERAGE CLSA Asia Pacific Markets ALEX WU Masterlink Securities TEAM COVERAGE China International Capital Corp STEPHEN YU ZHANG Morgan Stanley SIMON H Y LEE SWS Research Co Ltd HUANG ZHE AMTD Financial Planning Limited KENNY TANG SING HING Kim Eng Securities EDWARD FUNG

Source EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG Co File MF-AGG

Recommendation outperform buy buy buy buy overweight overweight buy buy accumulate outperform buy hold buy outperform buy Buy/Neutral buy neutral outperform buy sell buy buy hold Overwt/In-Line neutral buy hold

Amt Held 3'024'999'999 134'123'700 109'531'800 61'105'415 36'702'000 30'185'000 25'868'399 24'944'000 20'521'200 16'936'000 16'892'486 14'697'400 11'937'800 6'680'000 6'313'000 6'202'340 6'009'800 5'826'000 5'260'920 4'943'600

% Out 63.71 2.82 2.31 1.29 0.77 0.64 0.54 0.53 0.43 0.36 0.36 0.31 0.25 0.14 0.13 0.13 0.13 0.12 0.11 0.1

Weighting

Change 5 5 5 5 5 5 5 5 5 4 5 5 3 5 5 5 5 5 3 5 5 1 5 5 3 5 3 5 3

M M M N M N M N M M M M D M M N M M M M M M M M M M M N M

Latest Chg 74'000 (5'440'000) 8'294'000 14'000 8'268'000 253'073 (6'000) 3'736'000 (498'000) 1'650'000 -

Target Price 17 17 20 18 17 18 19 19 19 18 18 18 16 20 18 18 18 18 15 17 18 #N/A N/A 19 18 15 19 14 16 18

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 01.04.2011 Government 31.10.2011 Mutual Fund Manager 31.10.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.11.2011 Investment Advisor 08.03.2012 Investment Advisor 06.10.2011 Investment Advisor 31.12.2011 Investment Advisor 15.02.2012 n/a 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Mutual Fund Manager 15.02.2012 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 31.10.2011 Mutual Fund Manager 31.12.2010 Investment Advisor 31.12.2010 n/a 08.03.2012 Investment Advisor

Date 12 month 12 month 12 month Not Provided 12 month Not Provided 3 month Not Provided 12 month Not Provided 12 month Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided 6 month 12 month 12 month Not Provided Not Provided 12 month

Date 07.03.2012 06.03.2012 05.03.2012 05.03.2012 29.02.2012 27.02.2012 22.02.2012 21.02.2012 20.02.2012 19.02.2012 18.02.2012 17.02.2012 16.02.2012 15.02.2012 13.02.2012 09.02.2012 18.01.2012 18.01.2012 23.12.2011 19.12.2011 02.12.2011 30.11.2011 03.11.2011 13.10.2011 23.08.2011 22.08.2011 05.07.2011 09.06.2011 10.12.2010


27.02.2013

China Shenhua Energy Co Ltd China Shenhua Energy Company Limited is an integrated coal-based energy company focusing on the coal and power businesses in China. The Company also owns and operates an integrated coal transportation network consisting of dedicated rail lines and port facilities.

Price/Volume 45

60.0 M

40

50.0 M

35 30

40.0 M

25

30.0 M

20

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (14.03.2012) 52-Week Low (07.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1088 HK EQUITY YTD Change 1088 HK EQUITY YTD % CHANGE

12/2011 09/yy 36.25 24.15 24'516'418.00 28.35 -21.79% 17.39% 31.82% 3'398.6 558'814.94 60'466.00 0.0 38'492.0 64'945.00 489'098.69

15

20.0 M

10

10.0 M

5 0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended

LTM-4Q

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 84'268.00 EBIT 68'697.00 Operating Margin 33.00% Pretax Margin 31.92% Return on Assets 12.40% Return on Common Equity 22.73% Return on Capital 19.01% Asset Turnover 0.57% Margin Analysis Gross Margin 38.5% EBITDA Margin 37.9% EBIT Margin 30.5% Net Income Margin 21.9% Structure Current Ratio 1.23 Quick Ratio 0.89 Debt to Assets 15.08% Tot Debt to Common Equity 26.78% Accounts Receivable Turnover 14.55 Inventory Turnover 10.20 Price/ Cash Flow

LTM

FY+1

3.95 1.12 3'388.20 -16.35% -16.49% 1.117 39 4.462 20'762'900 18'879'120 16'476'650 FY+2

FQ+1

FQ+2

09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 119'358.0 157'766.0 235'355.7 255'911.5 64'028.5 57'210.0 16.37x 7.50x 2.05x 1.82x 7.79x 42'617.0 16'138.0 85'271.5 90'214.7 0.00x 0.00x 5.74x 5.42x 29'961.0 37'501.0 46'880.1 49'068.9 8'107.3 11'151.0 19.79x 0.00x 9.61x 9.26x 9.31x 8.82x S&P Issuer Ratings Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

24.19 11.28 0.03 0.64 26.8% 18.6% 0.57 0.88 25.15 35.89 56.44 -4.93

Sales/Revenue/Turnover

35.00

160'000.0

30.00

140'000.0 120'000.0

25.00

100'000.0 20.00

80'000.0 15.00

60'000.0

10.00

40'000.0

5.00

20'000.0

0.00 04.01.2008

0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Shenhua Energy Co Ltd Holdings By:

All

Holder Name JP MORGAN CHASE & CO CAPITAL GROUP COMPAN UBS AG VANGUARD GROUP INC BLACKROCK FUND ADVIS OPPENHEIMERFUNDS INC FRANKLIN RESOURCES I UBS AG SCHRODER INVESTMENT BLACKROCK INC STATE STREET GLOBAL BLACKROCK GROUP LIMI MAPS INVESTMENT MANA FIDELITY INTERNATION CAPITAL INTERNATIONA INVESTEC ASSET MANAG SCHRODER KOREA LTD SHINHAN BNP PARIBAS DEUTSCHE BANK AG INVESCO ASSET MANAGE

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

SinoPac ROBERT WEI Goldman Sachs JULIAN ZHU Capital Securities Corp TEAM COVERAGE Sanford C. Bernstein & Co MICHAEL W PARKER BOCOM International Holdings HE WEI JPMorgan DANIEL KANG BNP Paribas Equity Research JAMES CLARKE Nomura IVAN LEE ICBC International Securities ANNA YU EVA Dimensions TEAM COVERAGE Deutsche Bank JAMES KAN DBS Vickers JUNE NG Mizuho Securities KELVIN NG Core Pacific KENNY CHEUNG CCB International Securities Ltd KAREN LI Morgan Stanley WEE KIAT TAN Barclays Capital EPHREM RAVI Macquarie MATTY ZHAO Bank of China International LAWRENCE LAU Credit Suisse TRINA CHEN Citi SCARLETT Y CHEN HSBC SARAH MAK Masterlink Securities LI XIN Standard Chartered CHEN YAN RBS JEANNETTE SIM AMTD Financial Planning Limited KENNY TANG SING HING KGI Securities YANG TAO CLSA Asia Pacific Markets ANDREW DRISCOLL UOB Kay Hian HELEN LAU Daiwa Securities Capital Markets Co. FELIX LAM Citic Securities Co., Ltd LUO ZETING Yuanta Securities Investment ConsultingJOHNNY WONG Religare Capital Markets CATHERINE WANG Ji Asia SAMUEL THAWLEY GuoSen Securities Co Ltd DAVID LAM Guotai Junan LEO WU China International Capital Corp CAI HONGYU SWS Research Co Ltd HUANG ZHE Redford Assets Management Ltd LAM KA KEI Cinda Securities Ltd CASTOR PANG Celestial Securities Limited HENRY LI

Source EXCH Co File EXCH MF-AGG MF-AGG MF-AGG MF-AGG Short MF-AGG Short MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation buy Buy/Neutral buy underperform long-term buy overweight buy neutral buy buy buy buy neutral buy neutral Overwt/In-Line overwt/positive outperform buy outperform buy overweight buy outperform buy buy neutral outperform buy buy buy buy buy neutral buy accumulate buy neutral buy buy buy

Amt Held % Out 264'546'126 7.78 169'960'025 5 168'903'007 4.97 141'675'104 4.17 99'327'500 2.92 56'798'000 1.67 53'339'910 1.57 (51'101'315) -1.5 46'506'500 1.37 (32'145'690) -0.95 30'381'813 0.89 27'567'463 0.81 27'096'000 0.8 26'821'210 0.79 26'309'025 0.77 19'047'500 0.56 18'653'500 0.55 18'423'630 0.54 15'078'000 0.44 13'558'500 0.4

Weighting

Change 5 5 5 1 5 5 5 3 5 5 5 5 3 5 3 5 5 5 5 5 5 5 5 5 5 5 3 5 5 5 5 5 5 3 5 4 5 3 5 5 5

M M M M M M M M M U M M M M M M M M M M M M M M M M M M M M M M M D N M M M M N N

Latest Chg 629'000 (66'500) 1'088'650 (5'820'500) 1'986'172 348'260 (14'000) (13'123'500) 2'961'736 (2'036'000) 2'145'500 (3'037'000) (286'000) (103'500)

Target Price 43 41 38 26 44 44 49 38 44 #N/A N/A 40 41 34 43 40 48 45 44 40 50 41 47 41 42 46 38 36 39 43 41 46 44 45 #N/A N/A #N/A N/A 38 42 35 38 35 45

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 29.11.2011 Investment Advisor 31.12.2010 Investment Advisor 12.11.2010 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 29.12.2011 Investment Advisor 31.01.2012 Investment Advisor 12.11.2010 Investment Advisor 31.12.2011 Investment Advisor 02.03.2012 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Mutual Fund Manager 31.10.2011 Investment Advisor 30.11.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Mutual Fund Manager 30.09.2011 Investment Advisor 31.01.2012 Investment Advisor 29.07.2011 Mutual Fund Manager

Date 12 month 12 month Not Provided 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 6 month 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided Not Provided 12 month Not Provided Not Provided Not Provided 12 month

Date 12.03.2012 09.03.2012 09.03.2012 07.03.2012 07.03.2012 06.03.2012 05.03.2012 05.03.2012 05.03.2012 05.03.2012 02.03.2012 02.03.2012 02.03.2012 02.03.2012 02.03.2012 01.03.2012 27.02.2012 20.02.2012 16.02.2012 14.02.2012 08.02.2012 06.02.2012 02.02.2012 18.01.2012 12.01.2012 10.01.2012 21.12.2011 13.12.2011 01.12.2011 29.11.2011 23.11.2011 22.11.2011 04.11.2011 25.10.2011 20.09.2011 06.09.2011 29.08.2011 05.07.2011 08.03.2011 07.07.2010 17.03.2010


27.02.2013

China Unicom Hong Kong Ltd China Unicom (Hong Kong) Limited, through its subsidiaries, provides telecommunications services in the People's Republic of China. The Company's services include cellular, paging, long distance, data, and Internet services.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (09.03.2012) 52-Week Low (18.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 06.11.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 762 HK EQUITY YTD Change 762 HK EQUITY YTD % CHANGE

12/2011 09/yy 14.38 9.45 26'310'334.00 10.96 -23.78% 15.98% 32.66% 23'565.1 258'272.97 107'108.00 0.0 0.0 15'410.00 308'664.53

Fiscal Year Ended

1.20

250.0 M 200.0 M 150.0 M 100.0 M 50.0 M .0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 63'996.00 EBIT 5'975.00 Operating Margin 2.86% Pretax Margin 2.68% Return on Assets 1.10% Return on Common Equity 2.43% Return on Capital 2.30% Asset Turnover 0.50% Margin Analysis Gross Margin EBITDA Margin 29.7% EBIT Margin 3.6% Net Income Margin 2.0% Structure Current Ratio 0.18 Quick Ratio 0.13 Debt to Assets 23.48% Tot Debt to Common Equity 52.02% Accounts Receivable Turnover 19.07 Inventory Turnover Price/ Cash Flow

20 18 16 14 12 10 8 6 4 2 0 m-11

LTM-4Q

LTM

FY+1

1.14 0.88 4'576.91 -20.71% -11.76% 0.883 36 3.944 26'756'070 29'180'260 26'667'060 FY+2

FQ+1

FQ+2

09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 164'653.0 202'122.0 251'467.8 288'376.5 65'061.0 66'484.0 6.69x 6.94x 1.25x 1.12x 71'888.0 90'803.0 73'588.6 85'656.0 18'432.0 20'064.0 0.00x 4.29x 4.19x 3.60x 3.75x 3.62x 3'882.0 4'846.0 6'943.6 11'176.3 1'292.7 2'476.0 59.32x 63.84x 30.13x 18.92x 19.51x 17.25x S&P Issuer Ratings Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

18.36 -3.98 1.38 1.65 52.0% 34.2% 0.50 0.60 19.19 -

Sales/Revenue/Turnover

180'000.0 160'000.0

1.00 0.80

140'000.0 120'000.0 100'000.0

0.60

80'000.0 60'000.0

0.40 0.20

40'000.0 20'000.0 0.0

0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

China Unicom Hong Kong Ltd Holdings By:

All

Holder Name CHINA UNICOM BVI LTD CHINA NETCOM GROUP C TELEFONICA INTERNACI VANGUARD GROUP INC BLACKROCK FUND ADVIS FIDELITY INTERNATION T ROWE PRICE ASSOCIA MASSACHUSETTS FINANC FIDELITY MANAGEMENT BLACKROCK GROUP LIMI STATE STREET GLOBAL HARVEST FUND MANAGEM INVESCO ASSET MANAGE PRUDENTIAL ASSET MAN BLACKROCK INVESTMENT PRUDENTIAL FINANCIAL CARMIGNAC GESTION GARTMORE GROUP LTD ROBECO INVESTOR SERV IVY MANAGEMENT INCOR

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Jefferies CYNTHIA JINHONG MENG Nomura DANNY CHU Barclays Capital ANAND RAMACHANDRAN BOCOM International Holdings LI ZHIWU Morgan Stanley NAVIN KILLA Yuanta Securities Investment ConsultingKELVIN HO Bank of China International MICHAEL MENG RBS TOMMY MOK Citi BIN LIU ICBC International Securities KARY SEI BNP Paribas Equity Research ALEN LIN Mirae Asset Securities ERIC WEN China International Capital Corp CHEN HAOFEI Mizuho Securities MARVIN LO DBS Vickers TAM TSZ-WANG Credit Suisse COLIN MCCALLUM SWS Research Co Ltd JIM TANG CLSA Asia Pacific Markets ELINOR LEUNG AMTD Financial Planning Limited KENNY TANG SING HING HSBC TUCKER GRINNAN Ji Asia NEIL JUGGINS Standard Chartered STEVEN LIU EVA Dimensions TEAM COVERAGE First Shanghai Securities Ltd TSOI HO Capital Securities Corp TEAM COVERAGE Kim Eng Securities ANDY POON Citic Securities Co., Ltd PATRICK CHOI UOB Kay Hian VICTOR YIP JPMorgan LUCY LIU Daiwa Securities Capital Markets Co. ALAN KAM Macquarie LISA SOH Deutsche Bank ALAN HELLAWELL Goldman Sachs DONALD LU Pacific Crest Securities STEVE CLEMENT Haitong International Securities ALEX LEE Masterlink Securities TEAM COVERAGE Orient Securities JUN ZHOU

Source Co File Co File 13D MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation buy buy underwt/neutral sell Overwt/In-Line buy hold buy buy buy hold buy buy neutral buy outperform outperform underperform buy neutral sell underperform sell buy hold buy buy hold overweight hold underperform buy neutral/neutral outperform hold buy buy

Amt Held 9'725'000'020 7'234'075'906 2'254'378'708 221'165'685 192'546'028 89'878'555 74'448'000 67'608'000 53'982'000 50'987'128 42'127'433 40'900'000 30'490'000 19'793'990 19'742'000 19'216'052 18'800'000 18'096'000 17'710'000 16'070'000

% Out 41.27 30.7 9.57 0.94 0.82 0.38 0.32 0.29 0.23 0.22 0.18 0.17 0.13 0.08 0.08 0.08 0.08 0.08 0.08 0.07

Weighting

Change 5 5 1 1 5 5 3 5 5 5 3 5 5 3 5 5 5 1 5 3 1 1 1 5 3 5 5 3 5 3 1 5 3 5 3 5 5

M M M M M M M M M U M U M N M M M M M M M M M M N M M M M M M M M M M N N

Latest Chg 1'111'000 (154'000) 48'448'956 (2'540'000) 530'000 (7'594'000) (897'700) 489'226 (5'470'000) 5'348'000 (201'800) 1'608'000 34'000

Target Price 21 20 15 10 19 18 16 17 17 17 16 17 18 15 18 21 18 16 18 17 13 13 #N/A N/A 20 #N/A N/A 19 20 14 19 16 12 22 16 17 14 13 #N/A N/A

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2010 Government 31.12.2010 Government 07.09.2011 Corporation 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 08.03.2012 Investment Advisor 30.06.2011 Investment Advisor 30.06.2011 Investment Advisor 31.05.2011 Mutual Fund Manager 31.12.2010 Investment Advisor 30.11.2011 Investment Advisor 31.01.2012 Investment Advisor 30.09.2011 Investment Advisor 31.01.2012 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor

Date 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 6 month Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided

Date 09.03.2012 07.03.2012 07.03.2012 02.03.2012 29.02.2012 27.02.2012 21.02.2012 16.02.2012 16.02.2012 16.02.2012 15.02.2012 14.02.2012 08.02.2012 01.02.2012 20.01.2012 19.01.2012 19.01.2012 12.01.2012 06.01.2012 05.01.2012 16.12.2011 09.12.2011 30.11.2011 22.11.2011 28.10.2011 28.10.2011 28.10.2011 28.10.2011 27.10.2011 27.10.2011 13.09.2011 30.08.2011 26.08.2011 24.08.2011 18.07.2011 05.08.2010 14.07.2009


27.02.2013

CITIC Pacific Ltd Citic Pacific Limited manufactures special steel used in bearings, gears, springs, and high-pressurized piping steel. The Company also has operation in iron ore mining which supplies the raw material in making of special steel and property development in mainland China.

Price/Volume 30

35.0 M

25

30.0 M 25.0 M

20

Latest Fiscal Year: LTM as of: 52-Week High (01.03.2012) 52-Week Low (05.09.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 267 HK EQUITY YTD Change 267 HK EQUITY YTD % CHANGE

12/2011 06/yy 14.92 8.64 6'771'563.00 11.08 -25.74% 28.24% 39.17% 3'649.4 40'435.84 98'707.00 0.0 13'006.0 30'930.00 130'402.84

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

15.0 M

10

10.0 M

5

5.0 M

0 m-11

31.12.2008 31.12.2009 46'420.0 46'409.0 1.63x 2.70x 5'223.0 5'205.0 14.46x 24.08x (12'687.0) 5'950.0 12.82x Profitability

LTM-4Q 31.12.2010 70'614.0 1.96x 7'008.0 19.79x 8'915.0 8.28x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

31.12.2011 100'086.0 9'233.0 5.53x 9'439.00 7'259.00 7.25% 13.53% 3.75% 11.53% 6.00% 0.45% 14.2% 8.2% 5.7% 9.2% 1.15 0.64 42.96% 131.60% 15.37 4.70

Price/ Cash Flow

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

LTM

FY+1

4.06 1.17 1'309.35 -18.97% -4.15% 1.167 10 2.800 7'849'503 8'805'024 10'936'800 FY+2

FQ+1

FQ+2

06/yy 0.0 #DIV/0! 0.0 0.00x 0.0 0.00x

06/yy 12/12 Y 12/13 Y 09/11 Q3 12/11 Q4 0.0 102'347.1 116'158.3 #DIV/0! 1.37x 1.25x 0.0 9'580.6 11'416.1 0.00x 13.61x 11.42x 0.0 5'761.6 4'960.3 0.00x 7.38x 8.39x S&P Issuer Ratings Long-Term Rating Date 18.07.2011 Long-Term Rating BB+ Long-Term Outlook NEG Short-Term Rating Date 22.06.2006 Short-Term Rating NR Credit Ratios EBITDA/Interest Exp. 2.32 (EBITDA-Capex)/Interest Exp. -1.51 Net Debt/EBITDA 9.05 Total Debt/EBITDA 13.24 Reference Total Debt/Equity 131.6% Total Debt/Capital 52.9% Asset Turnover 0.45 Net Fixed Asset Turnover 0.96 Accounts receivable turnover-days 23.81 Inventory Days 77.82 Accounts Payable Turnover Day 50.67 Cash Conversion Cycle 47.40 Sales/Revenue/Turnover

300.00

120'000.0

250.00

100'000.0

200.00

80'000.0

150.00

60'000.0

100.00

40'000.0

50.00

20'000.0

0.00 02.01.2009

.0 M a-11 m-11

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 38'534.0 3.16x 4'749.0 25.66x 10'843.0 8.87x

20.0 M

15

Valuation Analysis

0.0 02.07.2009

02.01.2010

02.07.2010

02.01.2011

02.07.2011

02.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

CITIC Pacific Ltd Holdings By:

All

Holder Name FULL CHANCE INVESTME NEWEASE INVESTMENS SKYPROFIT HOLDINGS L HONPVILLE CORP CHI KIN YUNG JETWAY CORP WESTMINSTER INVESTME HAINSWORTH LTD VANGUARD GROUP INC AFFLUENCE LTD CORDIA CORP WINTON CORP BLACKROCK FUND ADVIS INVESCO LTD STATE STREET GLOBAL INVESCO ASSET MANAGE SOUTHPOINT ENTERPRIS FRANKLIN RESOURCES I DESMARAIS ANDRE UBS STRATEGY FUND MG

Firm Name Standard Chartered Haitong International Securities CLSA Asia Pacific Markets Morgan Stanley Goldman Sachs JPMorgan Jefferies Citi EVA Dimensions Deutsche Bank Guotai Junan

Portfolio Name n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios

Analyst JEREMY GRAY CHO FOOK TAT PAUL KALOGIROU COREY CHAN SIMON CHEUNG BENJAMIN LO CHRISTIE JU ANIL DASWANI TEAM COVERAGE MICHAEL LEE SIMON JIANG

Source EXCH EXCH EXCH EXCH EXCH EXCH EXCH EXCH MF-AGG EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG Co File MF-AGG

Recommendation underperform buy underperform Overwt/In-Line neutral/neutral neutral buy sell sell hold neutral

Amt Held 450'416'694 450'416'694 450'416'694 310'988'221 281'928'000 122'336'918 101'960'000 93'136'000 46'460'995 43'266'000 32'258'064 30'718'000 20'179'000 15'758'000 11'415'740 10'831'000 10'000'000 9'724'740 8'145'000 6'974'000

% Out 12.34 12.34 12.34 8.52 7.73 3.35 2.79 2.55 1.27 1.19 0.88 0.84 0.55 0.43 0.31 0.3 0.27 0.27 0.22 0.19

Weighting

Change 1 5 1 5 3 3 5 1 1 3 3

D M M M M M M M D M M

Latest Chg 164'000 10'000 13'000 132'577 5'179'000 1'748'740 -

Target Price 13 17 15 17 16 13 19 11 #N/A N/A 14 9

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 27.12.2011 n/a 27.12.2011 n/a 27.12.2011 n/a 27.12.2011 n/a 15.11.2011 n/a 27.12.2011 n/a 27.12.2011 n/a 27.12.2011 n/a 31.12.2011 Investment Advisor 27.12.2011 n/a 27.12.2011 n/a 27.12.2011 n/a 08.03.2012 Investment Advisor 09.03.2012 Investment Advisor 30.06.2011 Investment Advisor 31.05.2011 Mutual Fund Manager 27.12.2011 n/a 31.12.2011 Investment Advisor 31.12.2010 n/a 30.11.2011 Investment Advisor

Date 12 month 12 month Not Provided 12 month 12 month 9 month 12 month Not Provided Not Provided 12 month Not Provided

Date 02.03.2012 02.03.2012 02.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 13.02.2012 17.01.2012 12.07.2009


27.02.2013

CLP Holdings Ltd CLP Holdings Limited, through its subsidiaries, generates and supplies electricity. The Company also develops and invests in power projects and invests in properties.

Price/Volume 80

10.0 M 9.0 M 8.0 M 7.0 M 6.0 M 5.0 M 4.0 M 3.0 M 2.0 M 1.0 M .0 M

70 60 50 40

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (08.03.2012) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2 HK EQUITY YTD Change 2 HK EQUITY YTD % CHANGE

12/2012 01/yy 69.00 62.50 5'533'319.00 66.55 -3.55% 6.48% 66.92% 2'526.5 168'135.30 93'253.00 0.0 74.0 13'026.00 248'436.29

30 20 10 0 m-11

a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data

Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2008 31.12.2009 31.12.2010 31.12.2011 31.12.2012 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 22'181.00 EBIT 15'160.00 Operating Margin 14.46% Pretax Margin 9.52% Return on Assets 3.75% Return on Common Equity 9.64% Return on Capital 6.99% Asset Turnover 0.47% Margin Analysis Gross Margin EBITDA Margin 24.3% EBIT Margin 14.5% Net Income Margin 7.9% Structure Current Ratio 0.99 Quick Ratio 0.76 Debt to Assets 40.77% Tot Debt to Common Equity 102.33% Accounts Receivable Turnover 7.43 Inventory Turnover Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

3.86 0.44 1'838.59 4.55% 2.62% 0.445 19 3.000 3'779'146 3'444'872 4'475'480 FY+2

12/13 Y 12/14 Y 104'427.9 110'941.9 2.22x 2.10x 22'999.3 24'352.0 10.80x 10.20x 10'720.7 11'328.9 15.27x 14.51x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

02.03.2011 ASTABLE 26.06.2008 A-2 3.64 1.54 3.15 3.66 102.3% 50.6% 0.47 0.79 49.28 -

Sales/Revenue/Turnover

14.00

100'000.0 90'000.0

12.00

80'000.0

10.00

70'000.0 60'000.0

8.00

50'000.0 40'000.0

6.00

30'000.0

4.00

20'000.0 2.00 0.00 02.01.2009

10'000.0 0.0 02.07.2009

02.01.2010

02.07.2010

02.01.2011

02.07.2011

02.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

CLP Holdings Ltd Holdings By:

All

Holder Name LAWRENCIUM MIKADO HO RON & RITA MCAULAY F OAK CLP LTD LAWRENCIUM HOLDINGS ACORN HOLDINGS CORP BLACKROCK FUND ADVIS VANGUARD GROUP INC CAPITAL WORLD INVEST STATE STREET GLOBAL MATTHEWS INTERNATION LASHMI CO LTD MERLIN INVESTMENTS L UMB BANK N A BANK OF NEW YORK MEL MACQUARIE INVESTMENT BLACKROCK GROUP LIMI COHEN & STEERS CAPIT SUMITOMO MITSUI ASSE RAIFFEISEN KAPITALAN BNP PARIBAS ASSET MG

Firm Name Sanford C. Bernstein & Co Nomura EVA Dimensions Morgan Stanley Credit Suisse Bank of China International Mirae Asset Securities CLSA Asia Pacific Markets Ji Asia RBS Goldman Sachs JPMorgan DBS Vickers Deutsche Bank Macquarie Citi Standard Chartered Daiwa Securities Capital Markets Co.

Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst MICHAEL W PARKER IVAN LEE TEAM COVERAGE SIMON H Y LEE EDWIN PANG PETER YAO RICKY NG RAJESH PANJWANI FELIX FOK JENNY COSGROVE FRANKLIN CHOW ELAINE WU JUNE NG ERIC CHENG ADAM WORTHINGTON PIERRE LAU DENNIS IP DAVE DAI

Source Co File EXCH Co File Co File Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation underperform neutral underweight Equalwt/In-Line neutral hold buy underperform buy buy neutral/neutral neutral hold buy outperform neutral in-line hold

Amt Held 239'044'212 209'014'077 196'554'172 147'980'670 70'146'655 28'872'700 18'796'485 18'535'000 16'132'564 12'521'700 7'359'811 7'359'811 6'245'160 4'728'534 3'557'500 3'360'000 3'081'000 3'012'600 2'722'000 2'679'733

% Out 9.93 8.69 8.17 6.15 2.92 1.2 0.78 0.77 0.67 0.52 0.31 0.31 0.26 0.2 0.15 0.14 0.13 0.13 0.11 0.11

Weighting

Change 1 3 1 3 3 3 5 1 5 5 3 3 3 5 5 3 3 3

M M U M M M M M M M M M M U M M M N

Latest Chg (14'000) 498'500 183'553 (51'500) 1'066'000 (13'000) 31'469

Target Price 50 65 #N/A N/A 71 69 71 74 65 74 78 69 72 69 70 72 73 72 72

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2010 n/a 23.08.2011 n/a 30.06.2010 n/a 31.12.2010 n/a 31.12.2010 n/a 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 30.12.2011 Investment Advisor 08.10.2009 n/a 08.10.2009 n/a 31.01.2012 Investment Advisor 08.03.2012 Investment Advisor 30.06.2011 Mutual Fund Manager 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.11.2011 Investment Advisor 29.12.2011 Investment Advisor 31.12.2011 Investment Advisor

Date 12 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month Not Provided 12 month 12 month 12 month 3 month 12 month 12 month 12 month Not Provided 12 month Not Provided

Date 07.03.2012 07.03.2012 06.03.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 20.02.2012 19.01.2012 08.10.2011 17.08.2011 12.08.2011


27.02.2013

CNOOC Ltd CNOOC Limited, through its subsidiaries, explores, develops, produces, and sells crude oil and natural gas.

Price/Volume 25

300.0 M

20

250.0 M 200.0 M

15

150.0 M

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (29.02.2012) 52-Week Low (05.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 883 HK EQUITY YTD Change 883 HK EQUITY YTD % CHANGE

10

12/2011 01/yy 17.84 13.18 47'860'635.00 14.98 -16.03% 13.66% 40.34% 44'646.3 668'801.63 37'995.00 0.0 0.0 99'197.00 476'379.26

Fiscal Year Ended

1.20

50.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 119'044.00 EBIT 88'523.00 Operating Margin 36.74% Pretax Margin 38.42% Return on Assets 16.17% Return on Common Equity 23.71% Return on Capital Asset Turnover 0.60% Margin Analysis Gross Margin EBITDA Margin 48.6% EBIT Margin 35.1% Net Income Margin 29.2% Structure Current Ratio 1.88 Quick Ratio 1.71 Debt to Assets 9.89% Tot Debt to Common Equity 14.45% Accounts Receivable Turnover 11.58 Inventory Turnover Price/ Cash Flow

100.0 M

5

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

2.91 1.27 15'873.58 -10.35% -10.73% 1.273 34 3.706 48'561'960 62'790'070 52'584'860 FY+2

12/12 Y 12/13 Y 236'712.4 243'883.9 2.25x 2.17x 123'473.8 127'363.1 3.86x 3.74x 65'370.6 63'543.4 8.25x 8.49x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

16.12.2010 AASTABLE 76.41 42.61 -0.53 0.48 14.5% 12.6% 0.60 1.08 31.60 -

Sales/Revenue/Turnover

200'000.0 180'000.0

1.00

160'000.0 140'000.0

0.80 0.60 0.40

120'000.0 100'000.0 80'000.0 60'000.0 40'000.0

0.20

20'000.0 0.0

0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

CNOOC Ltd Holdings By:

All

Holder Name CHINA NATIONAL OFFSH VANGUARD GROUP INC FRANKLIN RESOURCES I BLACKROCK FUND ADVIS FIDELITY INTERNATION THORNBURG INVESTMENT SCHRODER INVESTMENT FIRST STATE INVESTME STATE STREET GLOBAL BLACKROCK GROUP LIMI T ROWE PRICE ASSOCIA OPPENHEIMERFUNDS INC SHINHAN BNP PARIBAS SCHRODER KOREA LTD CAPITAL WORLD INVEST INVESCO LTD JPMORGAN ASSET MANAG MAPS INVESTMENT MANA FIDELITY MANAGEMENT INVESTEC ASSET MANAG

Firm Name

Portfolio Name n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Nomura SONIA SONG Sanford C. Bernstein & Co NEIL BEVERIDGE BOCOM International Holdings FEI WU Barclays Capital SCOTT DARLING Goldman Sachs NILESH BANERJEE Deutsche Bank DAVID HURD Credit Suisse DAVID HEWITT BNP Paribas Equity Research CHENG KHOO Jefferies LABAN YU Citi GRAHAM CUNNINGHAM UOB Kay Hian YAN SHI Standard Chartered YOSSAVEE SUTTIKULPANICH Yuanta Securities Investment ConsultingKIM-CHONG TAN Macquarie JAMES HUBBARD Bank of China International LAWRENCE LAU China International Capital Corp BIN GUAN Mirae Asset Securities GORDON KWAN CLSA Asia Pacific Markets SIMON POWELL ICBC International Securities ANNA YU AMTD Financial Planning Limited KENNY TANG SING HING Morgan Stanley WEE KIAT TAN Daiwa Securities Capital Markets Co. ADRIAN LOH DBS Vickers WEE KEAT LEE Mizuho Securities ANDREW S F CHAN Guotai Junan GRACE LIU JPMorgan BRYNJAR EIRIK BUSTNES EVA Dimensions TEAM COVERAGE GuoSen Securities Co Ltd STEVEN LU RBS AIDEN BRADLEY SWS Research Co Ltd YE RONG Ji Asia SAMUEL THAWLEY HSBC PAUL SPEDDING Capital Securities Corp TEAM COVERAGE Redford Assets Management Ltd LAM KA KEI Industrial Securities FANG LEI

Source 20F MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation buy outperform long-term buy overwt/positive neutral/neutral buy neutral buy underperform buy hold outperform hold outperform hold accumulate buy underperform hold buy Overwt/Attractive buy hold buy accumulate underweight buy neutral hold neutral sell overweight hold buy buy

Amt Held 28'772'727'273 689'004'195 514'880'647 476'763'000 279'336'429 273'894'070 241'190'000 165'671'500 159'322'312 151'819'600 130'331'000 110'292'000 86'797'957 83'227'000 78'800'100 75'666'375 73'463'000 64'346'919 63'023'500 62'990'436

% Out 64.45 1.54 1.15 1.07 0.63 0.61 0.54 0.37 0.36 0.34 0.29 0.25 0.19 0.19 0.18 0.17 0.16 0.14 0.14 0.14

Weighting

Change 5 5 5 5 3 5 3 5 1 5 3 5 3 5 3 4 5 1 3 5 5 5 3 5 4 1 5 3 3 3 1 5 3 5 5

M M M M D M D M D M D M M M M D M M D N M M D M M M M M M D D M M N N

Latest Chg 604'200 (18'054'700) (142'000) (11'451'328) 649'000 29'961'000 1'446'810 (1'574'000) 10'445'000 18'000 (16'280'000) (48'625'000) 28'593'000 17'215'000 58'435'000 (7'368'000) 1'089'000

Target Price 20 21 16 21 19 21 18 18 14 20 18 18 17 21 16 19 18 16 17 17 23 21 16 20 23 13 #N/A N/A #N/A N/A 14 16 10 23 #N/A N/A 22 #N/A N/A

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.03.2011 Government 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 08.03.2012 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.10.2011 Mutual Fund Manager 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 29.12.2011 Investment Advisor 30.09.2011 Investment Advisor 30.09.2011 Mutual Fund Manager 31.12.2011 Investment Advisor 09.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Mutual Fund Manager 31.01.2012 Investment Advisor 31.12.2011 Investment Advisor

Date Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided 9 month Not Provided Not Provided 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided

Date 12.03.2012 09.03.2012 07.03.2012 05.03.2012 01.03.2012 29.02.2012 23.02.2012 23.02.2012 15.02.2012 15.02.2012 15.02.2012 19.01.2012 19.01.2012 19.01.2012 19.01.2012 19.01.2012 19.01.2012 19.01.2012 19.01.2012 19.01.2012 18.01.2012 18.01.2012 11.01.2012 06.01.2012 06.01.2012 14.12.2011 30.11.2011 22.11.2011 07.11.2011 27.10.2011 03.10.2011 06.09.2011 21.07.2011 24.03.2011 20.07.2009


27.02.2013

COSCO Pacific Ltd COSCO Pacific Limited, through its subsidiaries, provides shipping container leasing services worldwide. The Company also operates container terminals and provides container handling, storage, transportation and management services, as well as depot handling and stevedoring services.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (23.01.2013) 52-Week Low (05.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1199 HK EQUITY YTD Change 1199 HK EQUITY YTD % CHANGE

12/2011 09/yy 13.32 8.82 5'701'158.00 12.16 -8.71% 37.87% 75.56% 2'786.2 33'880.51 2'311.64 0.0 252.8 580.96 6'317.29

Fiscal Year Ended

1.20

45.0 M

16

40.0 M

14

35.0 M

12

30.0 M

10

25.0 M

8

20.0 M

6

15.0 M

4

10.0 M

2

5.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 317.97 EBIT 174.46 Operating Margin 29.12% Pretax Margin 71.16% Return on Assets 5.03% Return on Common Equity 9.06% Return on Capital 6.50% Asset Turnover 0.10% Margin Analysis Gross Margin 43.2% EBITDA Margin 53.0% EBIT Margin 30.4% Net Income Margin 64.9% Structure Current Ratio 1.06 Quick Ratio 0.83 Debt to Assets 35.72% Tot Debt to Common Equity 63.73% Accounts Receivable Turnover 7.34 Inventory Turnover 37.12 Price/ Cash Flow

18

LTM-4Q 09/yy 437.1 41.60x 0.0 0.00x 318.0 18.36x

LTM 09/yy 555.1 35.00x 0.0 0.00x 402.9 7.51x

FY+1

3.11 1.47 1'580.95 10.29% 10.14% 1.469 26 4.308 5'855'563 6'626'999 6'766'691 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 732.8 804.2 184.0 9.55x 9.08x 436.7 487.2 14.47x 12.97x 356.9 401.7 126.0 11.87x 10.59x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

4.52 -4.96 4.49 6.65 63.7% 37.3% 0.10 0.20 49.86 9.86 86.02 15.50

Sales/Revenue/Turnover

500.0 450.0

1.00

400.0 350.0

0.80 0.60 0.40

300.0 250.0 200.0 150.0 100.0

0.20

50.0 0.0

0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

COSCO Pacific Ltd Holdings By:

All

Holder Name CHINA COSCO HOLDINGS JP MORGAN CHASE & CO UBS AG VANGUARD GROUP INC FRANKLIN RESOURCES I JANUS CAPITAL MANAGE BLACKROCK FUND ADVIS DEUTSCHE BANK AG DWS INVESTMENT SA STATE STREET GLOBAL INVESCO LTD SHINHAN BNP PARIBAS INVESCO ASSET MANAGE FIDELITY INTERNATION STATE STREET CORP BLACKROCK GROUP LIMI FIDELITY INVESTMENTS FRANK RUSSELL TRUST FIDELITY MANAGEMENT SUMITOMO MITSUI ASSE

Firm Name Nomura Jefferies Goldman Sachs Morgan Stanley RBS Deutsche Bank China International Capital Corp CLSA Asia Pacific Markets JPMorgan DBS Vickers Citic Securities Co., Ltd AMTD Financial Planning Limited HSBC UOB Kay Hian EVA Dimensions Citi Religare Capital Markets Guotai Junan Standard Chartered Credit Suisse Barclays Capital Haitong International Securities China Merchants Securities

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst JIM WONG BOYONG LIU SIMON CHEUNG EDWARD XU OSBERT TANG MICHAEL LEE YANG XIN PHILIP CHOW KAREN LI KEN HE SIMON YEUNG KENNY TANG SING HING PARASH JAIN LAWRENCE LI TEAM COVERAGE VIVIAN WEI TAO PETER WILLIAMSON JASON SONG CLAIRE TENG INGRID WEI JON WINDHAM CHO FOOK TAT YU HUANGYAN

Source EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation buy buy Buy/Neutral Overwt/In-Line buy buy hold buy overweight buy overweight buy overweight buy sell buy buy accumulate in-line outperform overwt/neutral buy outperform

Amt Held 1'158'303'338 271'656'048 108'395'401 59'065'720 36'023'257 32'541'770 24'982'000 21'130'000 19'050'000 14'546'221 13'182'000 11'324'000 9'880'000 9'507'813 9'395'511 8'637'552 8'130'000 7'883'633 7'654'000 7'242'000

% Out 42.71 10.02 4 2.18 1.33 1.2 0.92 0.78 0.7 0.54 0.49 0.42 0.36 0.35 0.35 0.32 0.3 0.29 0.28 0.27

Weighting

Change 5 5 5 5 5 5 3 5 5 5 5 5 5 5 1 5 5 4 3 5 5 5 5

M M M M M M M M M M M N M M M N M M M M M M M

Latest Chg 1'632'000 86'566 (374'000) 32'541'770 18'000 1'130'000 940'000 167'446 (292'000) 364'000 (57'722'679) (12'000) 2'489'289 7'578'000 (500'000)

Target Price 15 15 15 15 14 14 8 12 14 13 11 11 13 14 #N/A N/A 11 13 14 11 15 14 18 8

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 12.05.2010 Government 07.12.2011 Investment Advisor 10.05.2010 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 08.03.2012 Investment Advisor 31.01.2012 Investment Advisor 31.01.2012 Mutual Fund Manager 30.06.2011 Investment Advisor 30.09.2011 Investment Advisor 30.09.2011 Investment Advisor 31.05.2011 Mutual Fund Manager 30.12.2011 Investment Advisor 08.03.2012 Investment Advisor 08.03.2012 Investment Advisor 31.12.2010 Mutual Fund Manager 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 30.09.2012 Investment Advisor

Date Not Provided 12 month 12 month 12 month 12 month 12 month 12 month Not Provided 9 month 12 month 6 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month Not Provided 12 month Not Provided Not Provided 12 month Not Provided

Date 09.03.2012 06.03.2012 27.02.2012 22.02.2012 15.02.2012 13.02.2012 06.02.2012 20.01.2012 19.01.2012 17.01.2012 17.01.2012 17.01.2012 13.01.2012 05.12.2011 30.11.2011 29.11.2011 22.11.2011 28.10.2011 26.10.2011 26.10.2011 11.10.2011 24.06.2011 23.02.2009


27.02.2013

Esprit Holdings Ltd Esprit Holdings Limited, through its subsidiaries, designs, licenses, sources, wholesales, and retails high quality life-style products under the ESPRIT brand name in Europe, Asia Pacific and North America. The Company also sells Red Earth cosmetics, skin, and body care products and operates Salon Esprit in Asia Pacific.

Price/Volume 40

120.0 M

35

100.0 M

30 80.0 M

25 20

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (05.03.2012) 52-Week Low (25.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 22.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 330 HK EQUITY YTD Change 330 HK EQUITY YTD % CHANGE

06/2012 01/yy 18.22 8.13 17'958'513.00 10.1 -44.57% 24.18% 20.29% 1'939.1 19'584.65 1'682.00 0.0 0.0 3'171.00 14'610.65

60.0 M

15

40.0 M

10 20.0 M

5 0 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 30.06.2008 30.06.2009 30.06.2010 30.06.2011 30.06.2012 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 1'850.00 EBIT 1'107.00 Operating Margin 3.67% Pretax Margin 3.85% Return on Assets -0.54% Return on Common Equity -0.80% Return on Capital -0.93% Asset Turnover 1.00% Margin Analysis Gross Margin 50.4% EBITDA Margin 3.3% EBIT Margin 0.2% Net Income Margin 2.9% Structure Current Ratio 1.69 Quick Ratio 0.90 Debt to Assets 7.10% Tot Debt to Common Equity 10.78% Accounts Receivable Turnover 9.64 Inventory Turnover 3.30 Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.37 1.29 1'775.97 -34.76% -5.96% 1.293 22 2.000 10'593'820 8'228'900 12'022'070 FY+2

FQ+1

FQ+2

06/13 Y 06/14 Y 09/11 Q1 12/11 Q2 26'937.9 28'399.4 0.58x 0.57x 442.4 1'185.6 33.03x 12.32x (269.8) 469.3 35.07x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

50.00 11.62 -5.59 2.03 10.8% 9.7% 1.00 6.12 37.96 111.03 25.82 94.26

Sales/Revenue/Turnover

18.00

40'000.0

16.00

35'000.0

14.00

30'000.0

12.00

25'000.0

10.00

20'000.0

8.00

15'000.0

6.00

10'000.0

4.00

5'000.0

2.00 0.00 04.07.2008

.0 M a-11 m-11

0.0 04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Esprit Holdings Ltd Holdings By:

All

Holder Name LONE PINE CAPITAL LL MARATHON ASSET MANAG BLACKROCK INC JP MORGAN CHASE & CO MASSACHUSETTS FINANC CAPITAL WORLD INVEST BANK OF NEW YORK MEL ALLIANCEBERNSTEIN LP FRIEDRICH JURGEN ALF VANGUARD GROUP INC MATTHEWS INTERNATION T ROWE PRICE ASSOCIA UNION INVESTMENT GMB IG INVESTMENT MANAGE STATE STREET GLOBAL BLACKROCK GROUP LIMI COMGEST GROWTH PLC MFS INVESTMENT MANAG INVESCO LTD BLACKROCK INC

Firm Name Societe Generale EVA Dimensions Jyske Bank Standard Chartered Credit Suisse Macquarie DBS Vickers Mizuho Securities UOB Kay Hian Religare Capital Markets CLSA Asia Pacific Markets Deutsche Bank Morgan Stanley JPMorgan Citi Nomura Barclays Capital Goldman Sachs Haitong International Securities CIMB

Portfolio Name n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a

Analyst ANNE CRITCHLOW TEAM COVERAGE ROBERT JAKOBSEN EMILY LEE GABRIEL CHAN GARY PINGE ALICE HUI PETER TANG TOMMY HO PETER WILLIAMSON AARON FISCHER ANNE LING ANGELA MOH KURUMLU EBRU SENER EDDIE K LAU TANUJ SHORI VINEET SHARMA JOSHUA LU WINNIE FONG TEAM COVERAGE

Source EXCH EXCH EXCH EXCH EXCH EXCH EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG Short

Recommendation hold sell strong buy underperform underperform outperform hold neutral hold buy underperform hold Equalwt/In-Line neutral sell neutral underwt/neutral neutral/neutral buy neutral

Amt Held % Out 131'116'400 10.16 91'176'424 7.07 67'941'291 5.26 64'409'136 4.99 64'245'960 4.98 63'329'677 4.91 63'298'839 4.91 57'993'583 4.49 45'053'669 3.49 16'452'002 1.27 16'416'700 1.27 14'326'296 1.11 12'063'094 0.93 11'791'285 0.91 11'527'343 0.89 10'407'900 0.81 10'000'000 0.77 7'296'053 0.57 6'672'670 0.52 (6'567'677) -0.51

Weighting

Change 3 1 5 1 1 5 3 3 3 5 1 3 3 3 1 3 1 3 5 3

M D M D M M M M M M U M M U D M M M U M

Latest Chg (4'118'838) 1'940'000 (1'195'800) 384'800 51'800 711'484 (12'600) 1'695'800 (360'199) -

Target Price 18 #N/A N/A 22 15 13 24 15 19 20 23 18 20 14 20 14 17 13 12 35 48

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 01.03.2012 Hedge Fund Manager 07.02.2012 Investment Advisor 22.11.2011 Investment Advisor 22.12.2011 Investment Advisor 13.01.2011 Investment Advisor 18.05.2011 Investment Advisor 21.09.2011 Investment Advisor 03.10.2011 Investment Advisor 05.12.2011 n/a 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.03.2011 Investment Advisor 30.11.2011 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 30.06.2011 Investment Advisor 30.12.2011 Investment Advisor 09.03.2012 Investment Advisor 22.11.2011 Investment Advisor

Date 12 month Not Provided Not Provided 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month 3 month Not Provided Not Provided Not Provided 12 month 12 month 12 month

Date 08.03.2012 05.03.2012 29.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 24.02.2012 23.02.2012 23.02.2012 23.02.2012 23.02.2012 23.02.2012 23.02.2012 20.10.2011 06.05.2011 16.09.2010


27.02.2013

Hang Lung Properties Ltd Hang Lung Properties Limited, through its subsidiaries, invests in, develops, and manages properties. The Company also manages parking lots.

Price/Volume 40

30.0 M

35

25.0 M

30 20.0 M

25 20

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (10.01.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 101 HK EQUITY YTD Change 101 HK EQUITY YTD % CHANGE

12/2012 01/yy 31.65 23.80 6'179'423.00 29.4 -7.11% 23.53% 69.43% 4'476.6 131'611.05 29'736.00 0.0 6'050.0 36'025.00 131'372.04

Fiscal Year Ended

1.20 1.00

10.0 M

10 5.0 M

5 0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

30.06.2008 30.06.2009 30.06.2010 30.06.2011 31.12.2012 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 7'299.00 EBIT 7'264.00 Operating Margin 98.53% Pretax Margin 137.94% Return on Assets 5.37% Return on Common Equity 7.38% Return on Capital 6.44% Asset Turnover 0.05% Margin Analysis Gross Margin EBITDA Margin 99.0% EBIT Margin 98.5% Net Income Margin 113.9% Structure Current Ratio 6.94 Quick Ratio 5.71 Debt to Assets 17.71% Tot Debt to Common Equity 25.22% Accounts Receivable Turnover 165.66 Inventory Turnover Price/ Cash Flow

15.0 M

15

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

2.52 1.12 2'391.87 4.19% -4.55% 1.117 22 4.091 5'537'255 6'712'763 6'714'372 FY+2

12/13 Y 12/14 Y 11'314.2 12'773.6 11.77x 10.51x 8'260.1 9'329.6 15.90x 14.08x 6'346.9 7'155.4 20.60x 18.35x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

10.50 -12.24 -0.86 4.07 25.2% 19.3% 0.05 0.06 3.32 -

Sales/Revenue/Turnover

14'000.0 12'000.0 10'000.0

0.80

8'000.0 0.60

6'000.0

0.40

4'000.0 2'000.0

0.20

0.0 0.00

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Hang Lung Properties Ltd Holdings By:

All

Holder Name PROSPERLAND HOUSING PUROTAT LTD JP MORGAN CHASE & CO ARTIO GLOBAL MANAGEM HANG LUNG INVESTMENT HANG LUNG ENTERPRISE BELIEVECITY LTD JANUS CAPITAL MANAGE COKAGE LTD CARMIGNAC GESTION HANG KONG CO LTD HARBOR CAPITAL ADVIS OPPENHEIMERFUNDS INC THIRD AVENUE MANAGEM EUROPEAN INVESTORS I BLACKROCK FUND ADVIS ABERDEEN ASSET MANAG DODGE & COX KINGSWICK INVESTMENT ALLIANCEBERNSTEIN LP

Firm Name

Portfolio Name n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios

Analyst

Mirae Asset Securities KEITH YEUNG Standard Chartered JOHN Y F CHAN JPMorgan AMY LUK Credit Suisse CUSSON LEUNG Nomura PAUL LOUIE DBS Vickers JEFF YAU Morgan Stanley PRAVEEN K CHOUDHARY Macquarie CALLUM BRAMAH Bank of China International VENANT CHIANG UOB Kay Hian SYLVIA WONG CLSA Asia Pacific Markets SUSANNA LEUNG AMTD Financial Planning Limited KENNY TANG SING HING Jefferies CHRISTIE JU Citi KEN YEUNG EVA Dimensions TEAM COVERAGE HSBC PERVEEN WONG Barclays Capital ANDREW LAWRENCE Goldman Sachs ANTHONY WU Yuanta Securities Investment ConsultingTEAM COVERAGE Daiwa Securities Capital Markets Co. JONAS KAN Haitong International Securities KATIE CHAN RBS FAN TSO Capital Securities Corp LANTIS LI Deutsche Bank TONY TSANG

Source EXCH EXCH Co File EXCH EXCH EXCH EXCH MF-AGG EXCH MF-AGG EXCH MF-AGG MF-AGG MF-AGG Research MF-AGG MF-AGG MF-AGG EXCH MF-AGG

Recommendation hold outperform neutral underperform neutral hold Underwt/In-Line outperform buy hold buy buy buy buy sell neutral underwt/negative buy/attractive Under Review buy hold hold buy buy

Amt Held 1'267'523'511 354'227'500 223'578'933 222'586'000 183'176'000 169'225'000 120'608'945 100'601'654 95'118'250 94'167'296 73'182'000 54'073'000 51'037'450 39'870'000 37'607'233 37'401'736 35'102'862 31'964'000 28'333'100 27'849'000

% Out 28.34 7.92 5 4.98 4.09 3.78 2.7 2.25 2.13 2.11 1.64 1.21 1.14 0.89 0.84 0.84 0.78 0.71 0.63 0.62

Weighting

Change

3 5 3 1 3 3 1 5 5 3 5 5 5 5 1 3 1 5 #N/A N/A 5 3 3 5 5

D M M M M M M M M M M N M M N M M M M M M M N M

Latest Chg (34'210'730) (347'774) 12'282'000 8'425'000 1'780'000 (40'000) 1'760'000 457'000

Target Price 31 30 28 21 28 27 23 33 27 27 30 #N/A N/A 35 33 #N/A N/A 24 23 32 #N/A N/A 34 33 30 40 42

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2011 Other 31.12.2011 Other 30.06.2011 Investment Advisor 12.01.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Other 31.12.2011 Other 31.12.2011 Investment Advisor 31.12.2011 Other 30.09.2011 Investment Advisor 31.12.2011 Other 31.12.2011 Investment Advisor 29.12.2011 Investment Advisor 31.10.2011 Hedge Fund Manager 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.01.2012 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor

Date 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month 12 month 12 month 12 month

Date 22.02.2012 18.02.2012 16.02.2012 13.02.2012 13.02.2012 27.01.2012 20.01.2012 20.01.2012 20.01.2012 20.01.2012 20.01.2012 20.01.2012 19.01.2012 19.01.2012 09.01.2012 08.01.2012 02.11.2011 20.10.2011 18.10.2011 27.09.2011 04.08.2011 22.07.2011 24.06.2011 26.11.2010


27.02.2013

Hang Seng Bank Ltd Hang Seng Bank Limited and its subsidiaries provide banking and related financial services.

Price/Volume 140

10.0 M 9.0 M 8.0 M 7.0 M 6.0 M 5.0 M 4.0 M 3.0 M 2.0 M 1.0 M .0 M

120 100 80

Valuation Analysis

60

Latest Fiscal Year: LTM as of: 52-Week High (14.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 11 HK EQUITY YTD Change 11 HK EQUITY YTD % CHANGE

12/2011 01/yy 129.00 99.20 1'418'541.00 123.6 -4.19% 24.60% 79.19% 1'911.8 236'303.77 52'432.00 0.0 0.0 157'094.00 -

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

20 0 m-11

a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data

Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 56'175.0 4.07x 18'242.0 16.87x

40

31.12.2008 31.12.2009 45'434.0 36'052.0 3.01x 3.44x 14'099.0 13'138.0 13.80x 16.70x Profitability

31.12.2010 37'622.0 3.69x 14'917.0 16.38x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

31.12.2011 39'403.0 1.81x 16'680.0 10.57x 40.40% 54.44% 1.81% 22.59% 13.39% 0.04% 47.3% 5.38% 66.58% -

Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

4.21 0.74 723.76 27.69% 4.13% 0.735 27 3.037 1'629'888 1'925'337 1'617'202 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 09/12 Q3 12/12 Q4 24'466.0 26'984.5 17'413.4 19'517.1 8'336.0 13.43x 11.69x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

29.11.2011 AASTABLE 20.07.2005 A-1+ 66.6% 40.0% 0.04 2.42 -

Sales/Revenue/Turnover

14.00

60'000.0

12.00

50'000.0

10.00

40'000.0

8.00

30'000.0 6.00

20'000.0 4.00

10'000.0

2.00 0.00 02.01.2009

0.0 02.07.2009

02.01.2010

02.07.2010

02.01.2011

02.07.2011

02.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Hang Seng Bank Ltd Holdings By:

All

Holder Name HONGKONG & SHANGHAI CAPITAL RESEARCH GLO BLACKROCK FUND ADVIS VANGUARD GROUP INC STATE STREET GLOBAL ARTISAN PARTNERS HOL PRUDENTIAL ASSET MGM FIDELITY MANAGEMENT SCHRODER INVESTMENT DAIWA SB INVESTMENTS BLACKROCK GROUP LIMI SUMITOMO MITSUI ASSE ALLIANZ GLOBAL INV O FIDELITY INTERNATION FORTIS INVESTMENTS BANK OF NEW YORK MEL NEW JERSEY DIVISION BOSTON COMMON ASSET DAIWA ASSET MANAGEME HIRTLE CALLAGHAN & C

Firm Name JPMorgan Standard Chartered Morgan Stanley Credit Suisse Bank of China International EVA Dimensions Nomura Citic Securities Co., Ltd Keefe, Bruyette & Woods Sanford C. Bernstein & Co DBS Vickers Kim Eng Securities China International Capital Corp BNP Paribas Equity Research UOB Kay Hian Core Pacific CLSA Asia Pacific Markets Deutsche Bank Citi Macquarie Daiwa Securities Capital Markets Co. CCB International Securities Ltd Barclays Capital Goldman Sachs Mizuho Securities Mirae Asset Securities

Portfolio Name n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios BOSTON COMMON ASSET Multiple Portfolios Multiple Portfolios

Analyst JOSEPH LEUNG LAWRENCE CHEN ANIL AGARWAL FRANCO LAM MIMI KONG TEAM COVERAGE DANIEL SHUM STEVEN CHAN WARREN BLIGHT MIKE WERNER ALEXANDER LEE IVAN LI SALLY NG DOMINIC CHAN EDMOND LAW LI TIMOTHY KEVIN CHAN SOPHIA LEE GARY LAM ISMAEL PILI GRACE WU ADAM CHAN SHARNIE WONG VINCENT CHANG JIM ANTOS PATRICK PONG

Source Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG 13F MF-AGG MF-AGG

Recommendation neutral outperform Underwt/Cautious outperform buy overweight reduce sell market perform market perform hold buy hold buy buy hold underperform buy neutral underperform buy outperform underwt/neutral neutral/neutral buy buy

Amt Held 1'188'057'371 12'613'600 10'457'000 7'285'057 6'836'400 4'846'577 2'412'900 2'393'077 1'415'600 1'364'400 1'253'588 1'199'900 1'095'500 941'288 879'330 867'465 785'600 726'161 693'200 545'754

% Out 62.14 0.66 0.55 0.38 0.36 0.25 0.13 0.13 0.07 0.07 0.07 0.06 0.06 0.05 0.05 0.05 0.04 0.04 0.04 0.03

Weighting

Change 3 5 1 5 5 5 2 1 3 3 3 5 3 5 5 3 1 5 3 1 5 5 1 3 5 5

M M M M M U M M M M M M M M M M M M M M M M D M N M

Latest Chg (833'100) (11'000) 211'802 76'898 (693'100) (1'169'134) (745'600) (6'600) 1'094'900 (5'189'464) 530'241 (36'500) (393'400) 28'220 (12'500) -

Target Price 105 118 80 120 118 #N/A N/A 80 85 108 116 105 120 104 136 118 107 97 120 108 90 125 118 92 109 114 120

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2010 Bank 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 30.06.2011 Investment Advisor 06.10.2011 Investment Advisor 31.01.2012 Investment Advisor 26.10.2011 Investment Advisor 27.09.2011 Investment Advisor 08.03.2012 Investment Advisor 11.07.2012 Investment Advisor 29.02.2012 Investment Advisor 30.12.2011 Investment Advisor 31.10.2011 Mutual Fund Manager 08.03.2012 Investment Advisor 31.12.2011 Pension Fund (ERISA) 31.12.2011 Investment Advisor 30.11.2011 Investment Advisor 30.09.2011 Unclassified

Date 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 6 month 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided 12 month Not Provided 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month

Date 12.03.2012 06.03.2012 06.03.2012 06.03.2012 06.03.2012 06.03.2012 05.03.2012 01.03.2012 29.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 13.02.2012 01.02.2012 30.11.2011 30.11.2011


27.02.2013

Henderson Land Development Co Ltd Henderson Land Development Company Limited, through its subsidiaries, develops, invests in, and manages properties. The Company also provides project management, construction, and finance services. In addition, Henderson Land Development operates department stores, hotels and infrastructure business.

Price/Volume 60

14.0 M

50

12.0 M 10.0 M

40

Latest Fiscal Year: LTM as of: 52-Week High (18.01.2013) 52-Week Low (18.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 16.10.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 12 HK EQUITY YTD Change 12 HK EQUITY YTD % CHANGE

12/2011 01/yy 59.90 37.00 3'005'804.00 53.45 -10.77% 44.46% 68.78% 2'414.8 129'073.34 55'740.00 0.0 4'589.0 18'850.00 170'063.34

Fiscal Year Ended

1.20

6.0 M

20

4.0 M

10

2.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

30.06.2007 30.06.2008 30.06.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 4'326.00 EBIT 4'126.00 Operating Margin 27.17% Pretax Margin 124.97% Return on Assets 6.28% Return on Common Equity 8.73% Return on Capital 7.16% Asset Turnover 0.05% Margin Analysis Gross Margin 44.6% EBITDA Margin 27.7% EBIT Margin 25.9% Net Income Margin 113.1% Structure Current Ratio 3.40 Quick Ratio 0.70 Debt to Assets 21.24% Tot Debt to Common Equity 30.08% Accounts Receivable Turnover 2.43 Inventory Turnover 0.09 Price/ Cash Flow

8.0 M

30

Valuation Analysis

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.91 1.05 885.42 13.91% -2.29% 1.051 23 4.043 3'819'839 4'083'166 3'561'501 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 09/11 Q3 12/11 Q4 15'198.3 20'519.3 10.99x 8.02x 5'469.2 7'033.1 31.09x 24.18x 7'465.8 7'806.5 17.44x 16.47x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

06.07.2005 NR 2.70 2.40 11.19 14.83 30.1% 22.7% 0.05 0.13 150.66 3886.62 76.12 2771.90

Sales/Revenue/Turnover

18'000.0 16'000.0

1.00 0.80

14'000.0 12'000.0 10'000.0

0.60

8'000.0 6'000.0

0.40 0.20

4'000.0 2'000.0 0.0

0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Henderson Land Development Co Ltd Holdings By:

All

Holder Name HENDERSON DEVELOPMEN BELIEVEGOOD LTD CAMERON ENTERPRISE I THIRD AVENUE MANAGEM PROSGLASS INVESTMENT FANCY EYE LTD SPREADRAL LTD FIDELITY MANAGEMENT BLACKROCK FUND ADVIS ARTISAN PARTNERS HOL FIDELITY INTERNATION VANGUARD GROUP INC STATE STREET GLOBAL SANDRA INVESTMENT LT SHAU KEE LEE MANULIFE ASSET MANAG HONG KONG AND CHINA SUPERFUN ENTERPRISES BLACKROCK GROUP LIMI PUTNAM INVESTMENT MA

Firm Name BOCOM International Holdings Mirae Asset Securities Macquarie Standard Chartered UOB Kay Hian JPMorgan Nomura Credit Suisse EVA Dimensions DBS Vickers CLSA Asia Pacific Markets HSBC Daiwa Securities Capital Markets Co. Citi Barclays Capital Goldman Sachs Kim Eng Securities CCB International Securities Ltd RBS Deutsche Bank

Portfolio Name n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios

Analyst ALFRED LAU KEITH YEUNG DAVID NG PAUL YAU SYLVIA WONG LUCIA KWONG PAUL LOUIE CUSSON LEUNG TEAM COVERAGE JEFF YAU NICOLE WONG DEREK KWONG JONAS KAN KEN YEUNG ANDREW LAWRENCE ANTHONY WU IVAN CHEUNG EDMOND CHAN FAN TSO TONY TSANG

Source EXCH EXCH EXCH EXCH EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH EXCH MF-AGG EXCH EXCH MF-AGG MF-AGG

Recommendation neutral reduce outperform in-line hold neutral buy neutral underweight hold underperform overweight buy buy equalwt/negative neutral/attractive buy neutral buy not rated

Amt Held 698'976'789 370'379'416 179'543'353 118'324'035 73'964'970 68'060'406 56'912'301 23'397'505 15'919'317 14'353'700 13'785'523 10'907'070 8'753'382 8'238'934 7'521'743 5'937'254 5'602'600 5'602'600 4'896'323 4'473'201

% Out 29.51 15.64 7.58 4.99 3.12 2.87 2.4 0.99 0.67 0.61 0.58 0.46 0.37 0.35 0.32 0.25 0.24 0.24 0.21 0.19

Weighting

Change

3 2 5 3 3 3 5 3 1 3 1 5 5 5 3 3 5 3 5 #N/A N/A

M D M M M M M M M M M M M M U M M M M M

Latest Chg 1'085'000 3'685'823 (20'000) (1'445'000) 10'295'758 (157'625) (814'920) (3'000) (1'000)

Target Price 44 42 53 52 52 52 62 45 #N/A N/A 41 41 56 57 52 37 45 57 44 65 #N/A N/A

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 20.01.2012 Corporation 20.01.2012 Other 20.01.2012 Other 08.12.2011 Hedge Fund Manager 20.01.2012 Investment Advisor 20.01.2012 Other 20.01.2012 Other 31.01.2012 Investment Advisor 08.03.2012 Investment Advisor 30.06.2011 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 30.06.2011 Investment Advisor 20.01.2012 n/a 30.12.2011 Investment Advisor 01.12.2011 Corporation 20.01.2012 Other 08.03.2012 Investment Advisor 30.09.2011 Investment Advisor

Date 12 month 12 month 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month Not Provided 12 month Not Provided

Date 27.02.2012 22.02.2012 21.02.2012 18.02.2012 17.02.2012 16.02.2012 13.02.2012 09.02.2012 31.01.2012 27.01.2012 09.01.2012 08.01.2012 04.01.2012 09.11.2011 02.11.2011 20.10.2011 29.08.2011 26.08.2011 24.05.2011 01.03.2011


27.02.2013

Hengan International Group Co Ltd Hengan International Group Company Limited, through its subsidiaries, manufactures and sells personal hygiene products such as sanitary napkins and disposable baby diapers in China. The Company's products are sold under the Anerle brand name.

Price/Volume 80

25.0 M

70

20.0 M

60 50

Latest Fiscal Year: LTM as of: 52-Week High (20.04.2012) 52-Week Low (14.12.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1044 HK EQUITY YTD Change 1044 HK EQUITY YTD % CHANGE

12/2011 01/yy 83.45 67.00 2'093'982.00 78.3 -6.17% 16.87% 66.57% 1'229.0 96'232.88 7'218.36 0.0 377.3 8'258.20 98'383.68

Fiscal Year Ended

1.20 1.00

10.0 M

30 20

5.0 M

10 0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 3'559.63 EBIT 3'116.26 Operating Margin 18.28% Pretax Margin 19.09% Return on Assets 13.14% Return on Common Equity 25.67% Return on Capital 15.76% Asset Turnover 0.76% Margin Analysis Gross Margin 39.9% EBITDA Margin 24.8% EBIT Margin 22.1% Net Income Margin 15.5% Structure Current Ratio 1.37 Quick Ratio 1.01 Debt to Assets 30.95% Tot Debt to Common Equity 58.49% Accounts Receivable Turnover 11.55 Inventory Turnover 3.41 Price/ Cash Flow

15.0 M

40

Valuation Analysis

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

1.92 0.57 722.34 16.81% 11.94% 0.575 31 3.968 2'337'121 2'851'019 2'977'116 FY+2

12/12 Y 12/13 Y 19'524.8 23'727.0 4.94x 4.06x 5'033.5 6'006.3 19.55x 16.38x 3'489.2 4'175.0 27.54x 23.04x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

25.00 7.95 0.41 2.04 58.5% 36.2% 0.76 2.21 31.69 107.29 47.06 80.56

Sales/Revenue/Turnover

16'000.0 14'000.0 12'000.0

0.80 0.60

10'000.0 8'000.0 6'000.0

0.40 0.20

4'000.0 2'000.0 0.0

0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Hengan International Group Co Ltd Holdings By:

All

Holder Name TIN LEE INVESTMENTS AN PING INVESTMENTS JP MORGAN CHASE & CO CAPITAL WORLD INVEST VANGUARD GROUP INC FIDELITY MANAGEMENT SKYFUL HOLDINGS LTD CHUN MAN XU FIDELITY INTERNATION MATTHEWS INTERNATION FIRST STATE INVESTME GO-AHEAD GROUP LTD T ROWE PRICE ASSOCIA BLACKROCK FUND ADVIS SHINHAN BNP PARIBAS STATE STREET GLOBAL CHING SHAN HUNG WAN LI CO LTD INVESCO ASSET MANAGE BANK OF NEW YORK MEL

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios

Analyst

EVA Dimensions TEAM COVERAGE Guotai Junan SUNNY KWOK Goldman Sachs LISA DENG JPMorgan JESSICA HONG Kim Eng Securities JACQUELINE KO BOCOM International Holdings SUMMER WANG SWS Research Co Ltd SEAN ZHANG CLSA Asia Pacific Markets DAWEI FENG Credit Suisse KEVIN YIN BNP Paribas Equity Research JESSICA LE UOB Kay Hian TOMMY HO Deutsche Bank MABEL WONG Standard Chartered JUNTUNG WU Citi JASMINE BAI Capital Securities Corp LANTIS LI HSBC WALDEN SHING First Shanghai Securities Ltd WANG SHIZHEN Barclays Capital VINEET SHARMA Yuanta Securities Investment ConsultingTEAM COVERAGE Macquarie GARY PINGE DBS Vickers PATRICIA YEUNG China International Capital Corp LUO WEI Citic Securities Co., Ltd ERIC NG Mirae Asset Securities SELINA SIA ICBC International Securities CARRIE CHAN RBS LEI YANG Ji Asia WU GONGLIANG Industrial Securities LUO YAMEI

Source EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG EXCH EXCH MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG EXCH EXCH MF-AGG MF-AGG

Recommendation underweight accumulate neutral/neutral underweight sell buy outperform buy outperform buy hold buy in-line buy strong buy neutral hold overwt/neutral Under Review neutral hold buy sell hold hold buy sell buy

Amt Held 228'228'999 224'669'751 73'026'911 42'143'500 27'293'641 19'480'990 17'270'000 16'167'445 13'422'154 13'347'000 10'846'000 10'000'000 9'421'000 9'145'500 8'186'021 7'075'180 7'000'000 7'000'000 6'963'900 6'066'500

% Out 18.57 18.28 5.94 3.43 2.22 1.59 1.41 1.32 1.09 1.09 0.88 0.81 0.77 0.74 0.67 0.58 0.57 0.57 0.57 0.49

Weighting

Change

1 4 3 1 1 5 5 5 5 5 3 5 3 5 5 3 3 5 #N/A N/A 3 3 5 1 3 3 5 1 5

U M M M N M M M M M M M M M M U D M M M M M D D M M M N

Latest Chg 103'576 (125'489) 9'024'867 (834'000) (3'873'000) 6'500 7'075'180 772'500 (500'000)

Target Price #N/A N/A 75 71 51 61 89 76 88 73 82 77 75 65 78 96 75 68 69 #N/A N/A 60 69 72 54 60 74 71 53 #N/A N/A

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 21.07.2011 Investment Advisor 21.07.2011 Investment Advisor 20.06.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 21.07.2011 n/a 18.07.2011 n/a 30.12.2011 Investment Advisor 30.12.2011 Investment Advisor 31.10.2011 Mutual Fund Manager 21.07.2011 n/a 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Investment Advisor 30.06.2011 Investment Advisor 18.07.2011 n/a 21.07.2011 n/a 29.07.2011 Mutual Fund Manager 31.12.2011 Investment Advisor

Date Not Provided Not Provided 12 month 9 month 12 month 12 month Not Provided Not Provided Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided Not Provided 12 month 12 month 12 month 6 month 12 month Not Provided 12 month 12 month Not Provided

Date 05.03.2012 23.02.2012 21.02.2012 20.02.2012 20.02.2012 16.02.2012 09.02.2012 08.02.2012 07.02.2012 07.02.2012 02.02.2012 16.12.2011 14.12.2011 13.12.2011 05.12.2011 23.11.2011 09.09.2011 06.09.2011 05.09.2011 31.08.2011 31.08.2011 31.08.2011 31.08.2011 31.08.2011 31.08.2011 30.08.2011 11.05.2011 03.08.2010


27.02.2013

Hong Kong & China Gas Co Ltd Hong Kong and China Gas Company Limited produces, distributes, and markets gas and gas appliances to residential and industrial customers through its Towngas brand name. The Company's subsidiaries develop gas projects in China and develop and manage commercial properties.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (13.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 3 HK EQUITY YTD Change 3 HK EQUITY YTD % CHANGE

12/2011 01/yy 22.50 16.02 5'801'972.00 21.5 -4.44% 34.21% 84.57% 8'690.6 186'848.11 27'297.30 0.0 4'748.1 12'049.20 211'173.51

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

25.0 M

20

20.0 M

15

15.0 M

10

10.0 M

5

5.0 M

0 m-11

31.12.2008 31.12.2009 12'352.2 12'351.8 6.59x 11.27x 4'376.3 4'713.5 18.61x 29.54x 4'302.5 5'275.1 18.14x 24.78x Profitability

31.12.2010 19'375.4 7.55x 5'853.2 25.00x 5'584.8 23.55x

31.12.2011 22'426.8 7.23x 7'089.3 22.88x 6'149.6 23.14x 7'089.30 5'778.30 25.77% 35.98% 8.35% 17.26% 11.44% 0.29% 30.5% 24.7% 27.4% 1.49 1.11 32.08% 65.64% 10.23 -

LTM-4Q

LTM

01/yy

01/yy -

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

FY+1 -

1.53 0.57 5'059.41 27.67% 1.65% 0.570 22 2.682 7'826'063 6'236'475 5'740'550 FY+2

12/12 Y 12/13 Y 26'046.2 29'394.7 7.92x 6.97x 8'532.6 9'368.1 24.75x 22.54x 6'860.6 7'452.9 26.32x 24.57x S&P Issuer Ratings

FQ+1

FQ+2

-

-

23.07.2008 A+ STABLE 7.58 2.62 2.61 4.07 65.6% 37.1% 0.29 0.71 35.78 -

Sales/Revenue/Turnover

25'000.0

1.00

20'000.0

0.60

j-11

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

1.20

0.80

.0 M a-11 m-11

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 14'225.5 10.38x 5'850.0 25.24x 9'269.6 15.62x

25

15'000.0 10'000.0

0.40

5'000.0 0.20

0.0 0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Hong Kong & China Gas Co Ltd Holdings By:

All

Holder Name DISRALEI INVESTMENT MACROSTAR INVESTMENT MEDLEY INVESTMENT FIRST STATE INVESTME FIRST STATE INVEST I FIRST STATE INVESTME FU SANG CO LTD CAPITAL WORLD INVEST BLACKROCK FUND ADVIS VANGUARD GROUP INC STATE STREET GLOBAL COLONIAL FIRST STATE SKANDIA GLOBAL FUNDS MATTHEWS INTERNATION LI KWOK PO LAZARD GLOBAL ACTIVE FIRST STATE INVEST S BANK OF NEW YORK MEL BLACKROCK GROUP LIMI MACQUARIE INVESTMENT

Firm Name EVA Dimensions Sanford C. Bernstein & Co Deutsche Bank Macquarie RBS Jefferies Citi Goldman Sachs Morgan Stanley Credit Suisse Bank of China International DBS Vickers UOB Kay Hian Mirae Asset Securities Nomura JPMorgan

Portfolio Name n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst TEAM COVERAGE MICHAEL W PARKER ERIC CHENG ADAM WORTHINGTON JENNY COSGROVE JOSEPH FONG PIERRE LAU FRANKLIN CHOW VINCENT CHOW EDWIN PANG PETER YAO WEE KEAT LEE YAN SHI RICKY NG IVAN LEE ELAINE WU

Source EXCH EXCH EXCH MF-AGG EXCH MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG EXCH MF-AGG EXCH MF-AGG MF-AGG MF-AGG

Recommendation sell underperform hold neutral sell buy sell Sell/Neutral Equalwt/In-Line underperform sell buy hold buy reduce neutral

Amt Held 1'696'927'906 744'507'546 708'953'821 276'329'066 196'486'096 119'237'579 117'830'414 107'928'672 70'625'251 47'054'576 42'376'761 32'611'556 22'440'563 22'424'638 22'022'000 19'671'162 15'984'133 12'494'182 10'522'636 6'560'171

% Out 21.48 9.42 8.97 3.5 2.49 1.51 1.49 1.37 0.89 0.6 0.54 0.41 0.28 0.28 0.28 0.25 0.2 0.16 0.13 0.08

Weighting

Change 1 1 3 3 1 5 1 1 3 1 1 5 3 5 2 3

D M M D N M M M M M D U M M M M

Latest Chg (80'000) 1'310'000 495'618 (691'000) 134'695 2'734'000 (42'000) -

Target Price #N/A N/A 14 17 20 15 21 15 15 17 16 16 20 18 22 15 18

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 07.06.2011 n/a 07.06.2011 n/a 07.06.2011 n/a 31.10.2011 Investment Advisor 05.03.2012 n/a 31.10.2011 Mutual Fund Manager 07.06.2011 n/a 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 05.03.2012 Investment Advisor 31.10.2011 Mutual Fund Manager 30.12.2011 Investment Advisor 07.06.2011 n/a 31.01.2012 Investment Advisor 05.03.2012 n/a 08.03.2012 Investment Advisor 08.03.2012 Investment Advisor 30.06.2011 Mutual Fund Manager

Date Not Provided 12 month 12 month 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month Not Provided 12 month Not Provided 3 month

Date 02.03.2012 29.02.2012 20.02.2012 19.01.2012 10.01.2012 15.12.2011 17.10.2011 01.09.2011 26.08.2011 24.08.2011 24.08.2011 24.08.2011 24.08.2011 24.08.2011 23.08.2011 07.07.2011


27.02.2013

Hong Kong Exchanges and Clearing Ltd Hong Kong Exchanges & Clearing Limited owns and operates the stock exchange, futures exchange, and their related clearing houses in Hong Kong. The Company provides the trading platforms for a range of cash and derivatives products and the facilities for processing trades.

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (17.01.2013) 52-Week Low (26.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 388 HK EQUITY YTD Change 388 HK EQUITY YTD % CHANGE

Price/Volume

12/2012 12/yy 150.70 100.00 6'482'534.00 137.8 -8.56% 37.80% 74.56% 1'149.8 158'443.56 0.00 0.0 0.0 45'238.00 112'310.56

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

31.12.2009 31.12.2010 5'996.7 6'639.0 19.77x 23.11x 5'023.2 5'126.0 23.60x 29.93x 4'704.0 5'037.0 31.83x 37.67x Profitability

25.0 M 20.0 M 15.0 M 10.0 M 5.0 M .0 M a-11 m-11

LTM-4Q 31.12.2011 6'870.0 12.88x 5'710.0 15.50x 5'093.0 26.24x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

31.12.2012 5'984.0 4'084.0 35.17x 5'710.00 5'620.00 81.80% 87.80% 9.41% 51.91% 51.91% 0.13% 79.0% 77.5% 68.2% 1.17 1.16 0.00% 0.00% 1.10 -

Price/ Cash Flow

12/yy 6'639.0 72.95x 5'577.0 27.51x 5'037.0 37.67x

j-11

j-11

a-11

LTM 12/yy 6'870.0 61.59x 5'602.0 15.80x 5'093.0 26.24x

s-11

o-11

n-11

d-11

j-12

f-12

FY+1

2.86 1.22 1'085.42 0.07% 4.47% 1.217 25 2.840 4'662'749 4'299'237 5'527'362 FY+2

FQ+1

FQ+2

12/13 Y 12/14 Y 03/13 Q1 06/13 Q2 8'862.9 9'824.9 16.25x 14.49x 6'444.4 7'210.8 17.43x 15.58x 5'315.5 5'818.9 1'096.0 1'173.0 29.30x 26.83x 31.75x 31.04x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

-8.00 0.00 0.0% 0.0% 0.13 6.60 333.38 -

Sales/Revenue/Turnover

40.00

8'000.0

35.00

7'000.0

30.00

6'000.0

25.00

5'000.0

20.00

4'000.0

15.00

3'000.0

10.00

2'000.0

5.00

1'000.0

0.00 02.01.2009

30.0 M

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2008 6'090.4 4.13x 4'898.8 5.14x 5'128.6 15.40x

200 180 160 140 120 100 80 60 40 20 0 m-11

0.0 02.07.2009

02.01.2010

02.07.2010

02.01.2011

02.07.2011

02.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Hong Kong Exchanges and Clearing Ltd Holdings By:

All

Holder Name HONG KONG SAR JP MORGAN CHASE & CO DEUTSCHE BANK AG DEUTSCHE BANK AG THORNBURG INVESTMENT FIDELITY INTERNATION VANGUARD GROUP INC BLACKROCK FUND ADVIS OPPENHEIMERFUNDS INC STATE STREET GLOBAL FIDELITY MANAGEMENT MATTHEWS INTERNATION GAM INTERNATIONAL MA ARTISAN PARTNERS HOL LAZARD GLOBAL ACTIVE FIDELITY INVESTMENTS MAN YIU CHOW GARTMORE GROUP LTD RCM CAPITAL MANAGEME ARTIO GLOBAL MANAGEM

Firm Name

Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

HSBC YORK PUN Credit Suisse ARJAN VAN VEEN Macquarie ANIEL MAHTANI DBS Vickers ALEXANDER LEE Kim Eng Securities IVAN LI Mizuho Securities THOMAS J MONACO China International Capital Corp SONGBAI WANG BNP Paribas Equity Research DOMINIC CHAN Citic Securities Co., Ltd FRANCIS CHAN UOB Kay Hian EDMOND LAW Core Pacific LI TIMOTHY DMG & Partners Securities TEAM COVERAGE Morgan Stanley ANIL AGARWAL JPMorgan HARSH WARDHAN MODI Keefe, Bruyette & Woods SAM HILTON Citi DARWIN LAM CLSA Asia Pacific Markets DEREK OVINGTON CCB International Securities Ltd KENNETH YUE Daiwa Securities Capital Markets Co. JONAS KAN BOCOM International Holdings YANG QINGLI EVA Dimensions TEAM COVERAGE Goldman Sachs PHILIPPA ROGERS AMTD Financial Planning Limited KENNY TANG SING HING Yuanta Securities Investment ConsultingTEAM COVERAGE Deutsche Bank TRACY YU

Source Co File EXCH EXCH Short MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG

Recommendation overweight underperform underperform fully valued hold underperform accumulate buy hold hold sell neutral Underwt/Cautious overweight market perform buy sell neutral outperform neutral hold neutral/neutral buy Under Review not rated

Amt Held % Out 62'919'500 5.83 52'816'358 4.89 41'764'934 3.87 (37'121'280) -3.44 28'474'700 2.64 16'527'680 1.53 14'966'351 1.39 14'185'700 1.31 12'324'900 1.14 9'128'277 0.85 6'568'598 0.61 6'121'700 0.57 4'957'376 0.46 4'879'500 0.45 4'004'800 0.37 3'553'000 0.33 3'297'194 0.31 2'303'400 0.21 2'279'400 0.21 1'718'800 0.16

Weighting 5 1 1 2 3 1 4 5 3 3 1 3 1 5 3 5 1 3 5 3 3 3 5 #N/A N/A #N/A N/A

Change M M M M M M M M M U M D M M M M M M M M U M M M M

Latest Chg 1'508'674 278'300 (15'000) 80'659 347'300 84'500 140'496 (93'300) 27'000 419'000 (572'300)

Target Price 168 115 124 113 165 115 #N/A N/A 179 143 135 120 148 110 166 137 163 98 141 171 121 #N/A N/A 133 126 #N/A N/A #N/A N/A

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2010 Government 12.10.2010 Investment Advisor 29.12.2011 Investment Advisor 29.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 29.12.2011 Investment Advisor 30.06.2011 Investment Advisor 31.01.2012 Investment Advisor 30.12.2011 Investment Advisor 31.01.2012 Investment Advisor 30.06.2011 Investment Advisor 31.01.2012 Investment Advisor 31.12.2010 Mutual Fund Manager 15.01.2010 n/a 31.01.2012 Investment Advisor 31.01.2012 Investment Advisor 31.10.2011 Investment Advisor

Date Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month 6 month Not Provided 12 month 12 month 12 month 3 month 12 month Not Provided Not Provided Not Provided 6 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided

Date 12.03.2012 06.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 16.02.2012 08.02.2012 07.01.2012 15.12.2011 10.10.2011 05.09.2011 05.05.2011


27.02.2013

HSBC Holdings PLC HSBC Holdings plc is the holding company for the HSBC Group. The Company provides a variety of international banking and financial services, including retail and corporate banking, trade, trusteeship, securities, custody, capital markets, treasury, private and investment banking, and insurance. The Group operates worldwide.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 5 HK EQUITY YTD Change 5 HK EQUITY YTD % CHANGE

12/2011 12/yy 88.45 59.80 14'040'958.00 84 -5.03% 40.47% 84.99% 18'480.6 1'552'370.25 274'441.00 2'712.0 7'368.0 273'607.00 -

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

90.0 M

80

80.0 M

70

70.0 M

60

60.0 M

50

50.0 M

40

40.0 M

30

30.0 M

20

20.0 M

10

10.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 136'800.0 2.51x 19'133.0 10.07x

90

31.12.2008 31.12.2009 126'036.0 97'533.0 1.99x 2.71x 5'728.0 5'834.0 19.90x 31.93x Profitability

LTM-4Q 31.12.2010 91'171.0 2.27x 13'159.0 13.43x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

31.12.2011 94'799.0 1.07x 16'797.0 8.03x 19.94% 30.19% 0.49% 7.70% 3.51% 0.03% 23.2% 10.74% 175.91% -

Price/ Cash Flow

LTM

12/yy 68'505.0 5.92x 0.0 0.00x 13'159.0 13.54x

12/yy 85'228.0 6.37x 0.0 0.00x 16'797.0 8.03x

FY+1

3.79 1.01 18'470.21 26.29% 3.32% 1.010 44 3.955 12'447'250 14'051'410 14'078'470 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 68'160.1 69'857.8 17'301.1 1.53x 1.00x 16'079.7 18'524.5 5'041.0 12.29x 10.86x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

29.11.2011 A+ NEG 29.11.2011 A-1 175.9% 62.3% 0.03 -

Sales/Revenue/Turnover

7.00

160'000.0

6.00

140'000.0 120'000.0

5.00

100'000.0 4.00

80'000.0 3.00

60'000.0

2.00

40'000.0

1.00

20'000.0

0.00 02.01.2009

0.0 02.07.2009

02.01.2010

02.07.2010

02.01.2011

02.07.2011

02.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

HSBC Holdings PLC Holdings By:

All

Holder Name JP MORGAN CHASE & CO BLACKROCK INC LEGAL & GENERAL GROU BLACKROCK INV MANAGE NORGES BANK INVESTME SCOTTISH WIDOWS INVE M&G INVESTMENT MANAG STANDARD LIFE INVEST CLEARSTREAM BANKING VANGUARD GROUP INC BLACKROCK GROUP LIMI VANGUARD GROUP INC FIDELITY INVESTMENTS HSBC INVESTMENTS UK AXA INVESTMENT MANAG DODGE & COX DODGE & COX STATE STREET GLOBAL FRANKLIN RESOURCES I STATE STREET GLOBAL

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Seymour Pierce BRUCE PACKARD Nomura DANIEL SHUM Shore Capital Stockbrokers GARY GREENWOOD AlphaValue DAVID GRINSZTAJN Citi RONIT GHOSE Macquarie THOMAS STOEGNER WestLB Equity Markets NEIL SMITH Berenberg Bank JAMES CHAPPELL Citic Securities Co., Ltd STEVEN CHAN Day by Day VALERIE GASTALDY Exane BNP Paribas TOM RAYNER Societe Generale JAMES INVINE Mediobanca SpA CHRISTOPHER WHEELER JPMorgan JOSHUA KLACZEK Keefe, Bruyette & Woods MARK J PHIN DBS Vickers ALEXANDER LEE Independent Research GmbH STEFAN BONGARDT China International Capital Corp SALLY NG BNP Paribas Equity Research DOMINIC CHAN Mirae Asset Securities PATRICK PONG Oriel Securities Ltd MICHAEL J TRIPPITT CLSA Asia Pacific Markets DANIEL TABBUSH BOCOM International Holdings YANG QINGLI Barclays Capital THOMAS QUARMBY EVA Dimensions TEAM COVERAGE Standard Chartered JOHN CAPARUSSO Morgan Stanley ANIL AGARWAL Credit Suisse SANJAY JAIN Daniel Stewart & Co SIMON WILLIS Standard & Poor's Equity Research FRANK BRADEN Redburn Partners JON KIRK CCB International Securities Ltd ADAM CHAN Investec IAN GORDON Goldman Sachs PHILIPPA ROGERS Espirito Santo Investment Bank Research SHAILESH RAIKUNDLIA Mizuho Securities JIM ANTOS Deutsche Bank TRACY YU Grupo Santander ANDREAS MAVRIKAKIS AMTD Financial Planning Limited KENNY TANG SING HING

Source Co File RNS-MAJ Co File REG REG REG REG REG REG MF-AGG MF-AGG REG REG REG REG MF-AGG REG REG MF-AGG MF-AGG

Recommendation hold suspended coverage hold add buy outperform add buy hold buy outperform buy outperform overweight outperform hold hold accumulate buy buy hold sell neutral overwt/neutral overweight outperform Overwt/Cautious neutral Under Review buy buy neutral hold Buy/Neutral buy underperform hold buy buy

Amt Held 1'250'550'419 1'079'549'015 705'666'880 499'200'526 393'555'584 298'076'321 253'521'386 214'778'870 191'677'951 190'311'883 150'715'062 145'180'706 134'533'374 123'024'531 121'271'991 112'723'083 111'948'631 111'848'434 107'881'123 107'358'296

% Out 6.95 6 3.92 2.77 2.19 1.66 1.41 1.19 1.06 1.06 0.84 0.81 0.75 0.68 0.67 0.63 0.62 0.62 0.6 0.6

Weighting

Change

3 #N/A N/A 3 4 5 5 4 5 3 5 5 5 5 5 5 3 3 4 5 5 3 1 3 5 5 5 5 3 #N/A N/A 5 5 3 3 5 5 1 3 5 5

D M M M M M M M M U M M M M M M M M M M M M M M U M M M M M M M D M N M M M N

Latest Chg 2'427'110 6'441'189 19'422'016 (10'954'078) 9'305'884 (834'873) (1'638'155) 9'604'733 719'227 7'321'855 11'741'220 (1'448'252) (1'624'585) 3'500'000 11'095'729 5'225'636 17'849'731 6'706'996

Target Price 73 #N/A N/A #N/A N/A 72 80 85 77 84 73 76 83 80 80 83 79 73 74 74 116 93 68 57 74 90 #N/A N/A 101 80 74 #N/A N/A 86 #N/A N/A 73 73 90 80 60 80 101 79

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 15.02.2011 02.03.2012 31.12.2010 01.11.2011 01.11.2011 01.11.2011 01.11.2011 01.11.2011 01.11.2011 31.12.2011 08.03.2012 01.11.2011 01.11.2011 01.11.2011 01.11.2011 31.12.2011 01.11.2011 01.11.2011 31.01.2012 30.06.2011

Date Not Provided Not Provided Not Provided 6 month Not Provided 12 month Not Provided Not Provided 6 month 3 month Not Provided 12 month 12 month 12 month 12 month 12 month 6 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided

Inst Type Investment Advisor Investment Advisor Investment Advisor Investment Advisor Unclassified Investment Advisor Investment Advisor Investment Advisor Bank Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor

Date 12.03.2012 12.03.2012 08.03.2012 08.03.2012 07.03.2012 07.03.2012 06.03.2012 01.03.2012 01.03.2012 01.03.2012 01.03.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 27.02.2012 21.02.2012 09.02.2012 06.02.2012 02.02.2012 10.11.2011 12.08.2011 02.08.2011


27.02.2013

Hutchison Whampoa Ltd Hutchison Whampoa Limited is a diversified company. The Company, through its subsidiaries, operates businesses including ports and related services, telecommunications and e-commerce, property and hotels, retail and manufacturing, energy, infrastructure, finance and investments.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (05.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 13 HK EQUITY YTD Change 13 HK EQUITY YTD % CHANGE

12/2011 01/yy 88.00 61.80 9'348'234.00 81.6 -7.27% 32.04% 77.29% 4'263.4 347'891.06 225'056.00 0.0 39'171.0 66'539.00 547'469.05

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

31.12.2008 31.12.2009 235'478.0 208'808.0 1.75x 2.14x 37'450.0 28'911.0 10.99x 15.44x 12'681.0 13'631.0 13.08x 16.69x Profitability

31.12.2010 209'180.0 2.66x 35'622.0 15.65x 20'179.0 16.91x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

31.12.2011 233'700.0 2.03x 34'601.0 13.73x 56'019.0 4.95x 34'601.00 20'521.00 8.78% 32.07% 2.70% 5.43% 5.51% 0.32% 60.2% 15.3% 9.5% 24.0% 1.33 0.83 31.23% 62.58% 10.65 5.11

Price/ Cash Flow

50.0 M 40.0 M 30.0 M 20.0 M 10.0 M .0 M a-11 m-11

LTM-4Q

LTM

01/yy

01/yy -

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

FY+1 -

2.55 1.04 2'001.51 10.94% 0.87% 1.040 16 4.625 7'475'821 6'437'590 6'037'963 FY+2

12/12 Y 12/13 Y 238'838.1 257'347.0 2.23x 2.06x 43'940.7 48'913.2 12.46x 11.19x 23'312.3 27'350.2 15.23x 13.03x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

09.11.2010 ASTABLE 4.08 1.12 4.32 6.95 62.6% 36.1% 0.32 1.12 34.37 71.60 79.27 17.07

Sales/Revenue/Turnover

25.00

250'000.0

20.00

200'000.0

15.00

150'000.0

10.00

100'000.0

5.00

50'000.0

0.00 04.01.2008

60.0 M

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 218'726.0 2.91x 53'244.0 11.97x 30'600.0 12.32x

100 90 80 70 60 50 40 30 20 10 0 m-11

0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Hutchison Whampoa Ltd Holdings By:

All

Holder Name CONTINENTAL REALTY L WINBO POWER LIMITED POLYCOURT LIMITED WELL KARIN LIMITED HARVESTIME HOLDINGS ORIENTAL TIME INVEST HARROWGATE INVESTMEN KAM CHIN INVESTMENT TOP WIN INVESTMENT L RICHLAND REALTY LIMI WADDELL & REED FINAN MIRABOLE LIMITED HISLOP RESOURCES LIM VISION CITY INTERNAT WHITE RAIN ENTERPRIS GOOD ENERGY LIMITED MASTER GRADE INVESTM FUMANDA LIMITED BLACKROCK FUND ADVIS WEALTH PLEASURE LIMI

Firm Name EVA Dimensions CLSA Asia Pacific Markets Goldman Sachs Credit Suisse Citi AMTD Financial Planning Limited Morgan Stanley JPMorgan Deutsche Bank Mirae Asset Securities Jefferies HSBC Redford Assets Management Ltd Standard Chartered

Portfolio Name n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a

Analyst TEAM COVERAGE DANIE SCHUTTE SIMON CHEUNG CUSSON LEUNG ANIL DASWANI KENNY TANG SING HING PRAVEEN K CHOUDHARY BENJAMIN LO KAREN TANG ADRIAN LOWE JULIAN BU MARK CARMERON ROSS WEBB LAM KA KEI JOHN Y F CHAN

Source EXCH EXCH EXCH EXCH EXCH EXCH EXCH EXCH EXCH EXCH MF-AGG EXCH EXCH EXCH EXCH EXCH EXCH EXCH MF-AGG EXCH

Recommendation buy outperform Buy/Neutral outperform neutral buy restricted overweight buy buy hold overweight buy outperform

Amt Held 465'265'969 236'260'200 233'065'641 226'969'600 165'000'000 122'774'850 114'748'675 108'231'279 106'912'458 75'242'950 50'443'000 49'593'500 43'193'700 42'344'000 41'926'500 39'565'900 39'327'000 37'851'000 30'757'800 30'406'200

% Out 10.91 5.54 5.47 5.32 3.87 2.88 2.69 2.54 2.51 1.76 1.18 1.16 1.01 0.99 0.98 0.93 0.92 0.89 0.72 0.71

Weighting

Change

5 5 5 5 3 5 #N/A N/A 5 5 5 3 5 5 5

U M M M D N M M M M M M N M

Latest Chg 5'074'000 (33'000) -

Target Price #N/A N/A 86 93 108 80 84 #N/A N/A 94 88 90 70 101 100 102

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 16.11.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 30.09.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 16.11.2011 08.03.2012 16.11.2011

Date Not Provided Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided Not Provided 12 month

Inst Type Corporation Corporation Other Other Holding Company Investment Advisor Investment Advisor Investment Advisor Investment Advisor Corporation Investment Advisor Other Corporation Other Other Corporation n/a Other Investment Advisor Other

Date 05.03.2012 01.03.2012 27.02.2012 27.02.2012 27.02.2012 06.02.2012 03.02.2012 03.02.2012 30.11.2011 09.11.2011 20.09.2011 04.08.2011 28.03.2011 18.01.2011


27.02.2013

Industrial & Commercial Bank of China Ltd Industrial and Commercial Bank of China Ltd provides a broad range of personal and corporate commercial banking services all over China. The Bank's businesses include deposit, loan, credit card, fund underwriting and trust, and foreign currency settlement and trading.

Price/Volume 8

1200.0 M

7

1000.0 M

6 800.0 M

5 4

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (23.01.2013) 52-Week Low (12.07.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 1398 HK EQUITY YTD Change 1398 HK EQUITY YTD % CHANGE

12/2011 09/yy 6.00 3.97 226'480'921.00 5.4 -10.00% 36.02% 70.94% 86'794.1 1'837'355.50 1'923'778.00 0.0 1'081.0 3'589'595.00 -

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

400.0 M

2 200.0 M

1 0 m-11

.0 M a-11 m-11

31.12.2008 31.12.2009 469'928.0 470'638.0 110'841.0 128'645.0 10.73x 13.95x Profitability

LTM-4Q 31.12.2010 544'045.0 165'156.0 8.83x

31.12.2011 704'382.0 208'265.0 7.07x

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

56.24% 57.02% 1.39% 23.68% 7.52% 0.05% 43.6% 12.43% 201.08% -

LTM

FY+1

4.68 1.32 71'813.63 3.24% -1.82% 1.315 38 4.632 ######### ######### ######### FY+2

FQ+1

FQ+2

09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 518'841.0 657'787.0 532'460.0 582'416.4 137'869.0 0.86x -0.77x 0.0 0.0 0.00x 0.00x 155'842.0 201'780.0 230'361.1 243'539.0 47'840.3 8.60x 6.92x 6.57x 6.27x S&P Issuer Ratings Long-Term Rating Date 09.12.2010 Long-Term Rating A Long-Term Outlook STABLE Short-Term Rating Date 09.12.2010 Short-Term Rating A-1 Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity 201.1% Total Debt/Capital 66.8% Asset Turnover 0.05 Net Fixed Asset Turnover 5.91 Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle Sales/Revenue/Turnover

1.20

600'000.0

1.00

500'000.0

0.80

400'000.0

0.60

j-11

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 391'906.0 81'520.0 33.88x

600.0 M

3

300'000.0 200'000.0

0.40

100'000.0 0.20

0.0 0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Industrial & Commercial Bank of China Ltd Holdings By:

All

Holder Name SOCIAL SECURITY FUND CAPITAL RESEARCH GLO JP MORGAN CHASE & CO BNP PARIBAS ASSET MG NOMURA HOLDINGS INC VANGUARD GROUP INC BLACKROCK FUND ADVIS CAPITAL WORLD INVEST FIDELITY INTERNATION NOMURA HOLDINGS INC CARMIGNAC GESTION SCHRODER INVESTMENT AMERICAN EXPRESS COM STATE STREET GLOBAL THORNBURG INVESTMENT BLACKROCK GROUP LIMI INVESCO LTD FIDELITY MANAGEMENT T ROWE PRICE ASSOCIA SCHRODER KOREA LTD

Firm Name

Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Sanford C. Bernstein & Co MIKE WERNER Nomura LUCY FENG UOB Kay Hian EDMOND LAW Keefe, Bruyette & Woods WARREN BLIGHT Goldman Sachs NING MA BOCOM International Holdings LI SHANSHAN Barclays Capital MAY YAN Citic Securities Co., Ltd ZHU YAN Bank of China International SUN PENG Credit Suisse SANJAY JAIN Mizuho Securities JIM ANTOS DBS Vickers ALEXANDER LEE CIMB JAMES LIU Citi SIMON HO HSBC TODD DUNIVANT Kim Eng Securities IVAN LI Standard Chartered LAWRENCE CHEN Macquarie VICTOR WANG Deutsche Bank TRACY YU Religare Capital Markets SOPHIE JIANG JPMorgan SAMUEL SHUN CHEN CCB International Securities Ltd SHENG NAN AMTD Financial Planning Limited KENNY TANG SING HING EVA Dimensions TEAM COVERAGE CLSA Asia Pacific Markets KEVIN CHAN Morgan Stanley MINYAN LIU Yuanta Securities Investment ConsultingTAN MING BNP Paribas Equity Research ELLIE LI Guotai Junan WILSON LI ABC International EDMOND LAW Capital Securities Corp TEAM COVERAGE Core Pacific LI TIMOTHY RBS IRENE HUANG Phillip Securities CHEN XINGYU Masterlink Securities RAINY YUAN SWS Research Co Ltd ROBERT HU China International Capital Corp MAO JUNHUA Mirae Asset Securities PATRICK PONG Daiwa Securities Capital Markets Co. GRACE WU Redford Assets Management Ltd LAM KA KEI ICBC International Securities IVAN LIN KGI Securities MICHELLE CHEN

Source EXCH EXCH EXCH EXCH Short MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation outperform buy buy outperform Buy/Neutral long-term buy overwt/neutral buy hold outperform neutral buy outperform buy overweight buy outperform outperform buy buy overweight outperform buy hold sell Overwt/In-Line buy buy accumulate buy buy buy buy buy hold neutral buy buy outperform buy buy outperform

Amt Held % Out 13'008'756'524 14.99 4'266'918'759 4.92 4'176'359'898 4.81 4'164'451'967 4.8 (2'319'702'900) -2.67 2'228'562'470 2.57 1'606'418'775 1.85 1'283'936'554 1.48 1'212'313'852 1.4 857'877'144 0.99 789'267'000 0.91 717'060'965 0.83 638'061'117 0.74 541'784'078 0.62 482'819'400 0.56 424'870'965 0.49 402'226'405 0.46 390'093'620 0.45 279'101'610 0.32 269'180'215 0.31

Weighting

Change 5 5 5 5 5 5 5 5 3 5 3 5 5 5 5 5 5 5 5 5 5 5 5 3 1 5 5 5 4 5 5 5 5 5 3 3 5 5 5 5 5 5

M M M M M M M M M M M M M M M M M M M M M N M D M M U M M M M M M M D M U M M M M M

Latest Chg (93'408'157) 4'104'000 (870'000) (66'299'940) 14'751'553 82'667'980 43'311'447 (248'000) 74'278'465 (11'749'195) (31'675'000) (35'242'000)

Target Price 7 7 7 7 7 6 7 7 6 6 6 7 6 7 7 7 7 8 7 6 9 6 5 #N/A N/A 4 7 6 6 7 7 6 6 6 6 5 6 8 6 6 7 7 6

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 08.02.2012 Pension Fund (ERISA) 12.09.2011 Investment Advisor 05.10.2011 Investment Advisor 19.11.2010 Investment Advisor 01.02.2012 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 01.02.2012 Investment Advisor 30.09.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2010 Bank 30.06.2011 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 09.03.2012 Investment Advisor 31.01.2012 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Mutual Fund Manager

Date 12 month Not Provided Not Provided 12 month 12 month 12 month Not Provided 6 month Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month 12 month 12 month 9 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month 6 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided 12 month

Date 12.03.2012 12.03.2012 12.03.2012 09.03.2012 07.03.2012 05.03.2012 28.02.2012 27.02.2012 24.02.2012 23.02.2012 23.02.2012 22.02.2012 22.02.2012 20.02.2012 13.02.2012 03.02.2012 01.02.2012 17.01.2012 16.01.2012 16.01.2012 12.01.2012 09.01.2012 09.01.2012 07.01.2012 05.01.2012 18.12.2011 13.12.2011 08.12.2011 10.11.2011 31.10.2011 28.10.2011 28.10.2011 24.10.2011 09.10.2011 20.09.2011 31.08.2011 26.08.2011 26.08.2011 25.08.2011 31.03.2011 23.04.2010 30.03.2010


27.02.2013

Li & Fung Ltd Li & Fung Limited, through its subsidiaries, operates an export trading business. The Company exports consumer products such as garments, fashion accessories, toys, games, sporting goods, home furnishings, handicrafts, shoes, travel goods, and tableware. In addition, Li & Fung invests in properties.

Price/Volume 25

Price/ Cash Flow

1.20 1.00

100.0 M 80.0 M

12/2011 01/yy 20.15 9.93 12'908'548.00 10.5 -47.89% 5.74% 5.19% 8'359.9 87'779.23 1'865.66 0.0 4.8 426.24 13'089.85

60.0 M 40.0 M

5

20.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

120.0 M

15 10

Latest Fiscal Year: LTM as of: 52-Week High (23.03.2012) 52-Week Low (08.02.2013) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 494 HK EQUITY YTD Change 494 HK EQUITY YTD % CHANGE

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

140.0 M

20

Valuation Analysis

31.12.2007 11'851.0 1.22x 431.3 33.55x 392.2 35.20x

160.0 M

31.12.2008 31.12.2009 14'220.3 13'478.2 0.46x 1.16x 444.8 562.1 14.56x 27.88x 311.1 434.6 19.16x 35.44x Profitability

31.12.2010 15'976.0 1.50x 868.8 27.50x 550.7 40.30x

31.12.2011 20'030.3 0.82x 1'053.0 15.62x 681.2 21.96x 1'052.98 826.44 4.13% 3.85% 7.09% 18.63% 14.85% 1.90% 14.9% 5.2% 3.9% 3.4% 1.08 0.66 17.08% 47.43% 9.88 16.79

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

4.65 1.18 5'520.35 -38.89% -23.25% 1.177 24 2.583 24'875'190 53'628'650 35'191'880 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 09/11 Q3 12/11 Q4 20'886.1 22'825.9 0.63x 0.59x 806.0 1'160.0 16.24x 11.28x 476.9 678.7 21.83x 16.51x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

15.01.2013 A- *8.19 7.31 1.67 1.96 47.4% 32.1% 1.90 60.01 37.03 21.80 49.78 8.61

Sales/Revenue/Turnover

140'000.0 120'000.0 100'000.0

0.80

80'000.0 0.60

60'000.0

0.40

40'000.0 20'000.0

0.20

0.0 0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Li & Fung Ltd Holdings By:

All

Holder Name LI & FUNG (1937) LTD DEUTSCHE BANK AG JANUS CAPITAL MANAGE JP MORGAN CHASE & CO CAPITAL RESEARCH AND CAPITAL WORLD INVEST TEMASEK HOLDINGS PRI KWOK LUN FUNG CAPITAL RESEARCH GLO FIDELITY MANAGEMENT LI & FUNG (DISTRIBUT FIRST ISLANDS DEVELO T ROWE PRICE ASSOCIA ABERDEEN ASSET MANAG BLACKROCK FUND ADVIS MASSACHUSETTS FINANC DEUTSCHE BANK AG VANGUARD GROUP INC STATE STREET GLOBAL HURRICANE MILLENNIUM

Firm Name Nomura Credit Suisse Citic Securities Co., Ltd Daiwa Securities Capital Markets Co. CLSA Asia Pacific Markets Citi UOB Kay Hian HSBC EVA Dimensions Morgan Stanley Barclays Capital Mizuho Securities DBS Vickers Macquarie Goldman Sachs JPMorgan Deutsche Bank AMTD Financial Planning Limited CIMB

Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios n/a

Analyst TANUJ SHORI GABRIEL CHAN MOHAN SINGH MATTHEW MARSDEN AARON FISCHER EDDIE K LAU KEN LEE CHRISTOPHER K LEUNG TEAM COVERAGE ANGELA MOH VINEET SHARMA PETER TANG PATRICIA YEUNG GARY PINGE JOSHUA LU KURUMLU EBRU SENER ANNE LING KENNY TANG SING HING TEAM COVERAGE

Source EXCH EXCH EXCH EXCH EXCH MF-AGG Co File EXCH MF-AGG MF-AGG EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG Short MF-AGG MF-AGG EXCH

Recommendation buy neutral overweight buy underperform neutral sell overweight sell Overwt/Attractive overwt/neutral underperform hold underperform neutral/neutral neutral buy buy outperform

Amt Held % Out 2'195'727'908 27 599'206'769 7.37 566'265'325 6.96 562'114'292 6.91 414'133'000 5.09 271'465'000 3.34 243'071'970 2.99 190'377'060 2.34 184'396'000 2.27 169'063'128 2.08 153'225'964 1.88 140'851'708 1.73 87'685'200 1.08 87'171'490 1.07 81'274'000 1 76'308'352 0.94 (59'024'227) -0.73 54'802'887 0.67 50'543'472 0.62 49'823'020 0.61

Weighting

Change 5 3 5 5 1 3 1 5 1 5 5 1 3 1 3 3 5 5 5

U M N M D D M M M M M M D M M D M N M

Latest Chg 4'176'000 9'126'000 14'531'833 111'650'000 (590'000) 1'600'000 (90'000) 2'698'000 (20'666'273) 6'592'868 -

Target Price 20 19 19 23 16 15 10 20 #N/A N/A 19 23 11 15 10 13 14 17 20 23

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 22.12.2011 31.01.2012 19.01.2012 01.03.2012 12.08.2011 31.12.2011 31.03.2011 21.10.2011 31.12.2011 31.01.2012 19.01.2012 19.01.2012 31.12.2011 31.01.2012 08.03.2012 31.12.2011 31.01.2012 31.12.2011 30.06.2011 12.01.2012

Date Not Provided Not Provided 6 month Not Provided Not Provided Not Provided Not Provided Not Provided Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month 9 month 12 month Not Provided 12 month

Inst Type Other Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Government n/a Investment Advisor Investment Advisor Other Other Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor n/a

Date 08.03.2012 01.03.2012 15.02.2012 26.01.2012 06.01.2012 15.12.2011 15.12.2011 11.12.2011 30.11.2011 06.11.2011 21.10.2011 04.10.2011 09.09.2011 17.08.2011 15.08.2011 12.08.2011 11.08.2011 19.05.2011 16.09.2010


27.02.2013

MTR Corp Ltd MTR Corporation Limited provides public transport services in Hong Kong. The Company owns and operates the Mass Transit Railway. The Company also develops, sells, and manages residential and commercial properties. In addition, MTR leases commercial facilities and provides services along the Railway, such as advertising, telecommunication facilities, and provides consultancy services.

Price/Volume 35

12.0 M

30

10.0 M

25

8.0 M

20

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (20.02.2013) 52-Week Low (08.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 66 HK EQUITY YTD Change 66 HK EQUITY YTD % CHANGE

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

4.0 M

10

2.0 M

5 0 m-11

31.12.2008 31.12.2009 17'628.0 18'797.0 7.47x 9.63x 15'971.0 14'774.0 8.25x 12.25x 8'284.0 9'639.0 12.22x 15.86x Profitability

31.12.2010 29'518.0 6.16x 14'956.0 12.16x 12'059.0 13.48x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

31.12.2011 33'423.0 4.90x 16'411.0 9.97x 14'716.0 9.86x 19'648.00 13'236.00 39.60% 52.86% 6.31% 9.60% 8.13% 0.17% 55.9% 37.3% 44.0% 1.10 0.86 17.21% 26.42% 10.69 -

Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

FY+1 -

2.41 0.69 1'358.74 19.91% 3.44% 0.687 14 3.714 2'948'792 2'396'681 2'266'550 FY+2

12/12 Y 12/13 Y 35'536.0 37'365.7 5.57x 5.34x 13'430.0 14'135.5 14.64x 13.91x 9'022.6 9'318.3 20.04x 19.81x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

16.12.2010 AAA STABLE 09.10.2009 A-1+ 16.52 8.08 0.70 1.93 26.4% 20.9% 0.17 0.24 34.23 -

Sales/Revenue/Turnover

40.00

40'000.0

35.00

35'000.0

30.00

30'000.0

25.00

25'000.0

20.00

20'000.0

15.00

15'000.0

10.00

10'000.0

5.00

5'000.0

0.00 02.01.2009

.0 M a-11 m-11

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 10'690.0 18.17x 15'383.0 12.62x 15'180.0 10.55x

6.0 M

15

12/2011 01/yy 32.70 24.60 2'300'420.00 31.55 -3.52% 28.25% 87.65% 5'794.2 182'806.83 34'046.00 0.0 186.0 18'852.00 196'571.82

0.0 02.07.2009

02.01.2010

02.07.2010

02.01.2011

02.07.2011

02.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

MTR Corp Ltd Holdings By:

All

Holder Name FINANCIAL SECRETARY EXCHANGE FUND BLACKROCK FUND ADVIS ABERDEEN ASSET MANAG VANGUARD GROUP INC STATE STREET GLOBAL INVESCO LTD JP MORGAN ASSET MGMT GAM INTERNATIONAL MA FIDELITY MANAGEMENT NISSAY ASSET MANAGEM SWISSCANTO FONDSLEIT NEW JERSEY DIVISION BLACKROCK GROUP LIMI RBC GLOBAL ASSET MAN HI ASSET MANAGEMENT SKANDIA GLOBAL FUNDS AXA ROSENBERG INTL FRANK RUSSELL TRUST AMUNDI LUXEMBOURG SA

Firm Name Credit Suisse CLSA Asia Pacific Markets AMTD Financial Planning Limited Morgan Stanley JPMorgan Jefferies Citi Daiwa Securities Capital Markets Co. EVA Dimensions Goldman Sachs GuoSen Securities Co Ltd DBS Vickers Deutsche Bank Credit Suisse Piper Jaffray Kim Eng Securities

Portfolio Name n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst CUSSON LEUNG DANIE SCHUTTE KENNY TANG SING HING PRAVEEN K CHOUDHARY BENJAMIN LO JULIAN BU MICHAEL BEER JONAS KAN TEAM COVERAGE SIMON CHEUNG MICHAEL NG JEFF YAU TONY TSANG FELIX RUSLI HONGBO B LU IVAN CHEUNG

Source Co File Co File MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation outperform outperform buy Overwt/In-Line neutral hold buy outperform overweight neutral/neutral buy buy not rated outperform neutral hold

Amt Held 4'434'552'207 32'325'625 21'204'583 15'058'485 13'992'587 12'901'741 10'772'105 6'781'500 5'509'337 3'439'916 2'743'500 2'725'991 2'699'684 2'200'093 2'034'500 1'590'000 1'541'524 1'400'500 1'276'666 1'089'500

% Out 76.66 0.56 0.37 0.26 0.24 0.22 0.19 0.12 0.1 0.06 0.05 0.05 0.05 0.04 0.04 0.03 0.03 0.02 0.02 0.02

Weighting

Change

5 5 5 5 3 3 5 5 5 3 5 5 #N/A N/A 5 3 3

M U N M M M M M U M N M M M M M

Latest Chg (27'500) 2'262'000 336'500 159'757 361'500 (2'278'000) (2'708'500) 2'000 (60'000) (1'351'882) (22'000) 1'634'500 662'500 (82'106) 13'500

Target Price 32 32 29 31 25 27 31 29 #N/A N/A 29 30 31 #N/A N/A 36 33 31

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 31.12.2010 31.12.2010 08.03.2012 31.01.2012 31.12.2011 30.06.2011 09.03.2012 14.01.2011 31.01.2012 31.01.2012 21.11.2011 30.12.2011 31.12.2011 08.03.2012 31.10.2011 30.09.2011 31.10.2011 30.09.2011 31.12.2011 30.12.2011

Date Not Provided Not Provided Not Provided 12 month 9 month 12 month Not Provided Not Provided Not Provided 12 month 12 month 12 month Not Provided Not Provided 12 month 12 month

Inst Type Government n/a Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Mutual Fund Manager Investment Advisor Investment Advisor Mutual Fund Manager Investment Advisor Pension Fund (ERISA) Investment Advisor Investment Advisor Mutual Fund Manager Mutual Fund Manager Investment Advisor Investment Advisor Investment Advisor

Date 09.03.2012 09.03.2012 09.03.2012 08.03.2012 08.03.2012 08.03.2012 08.03.2012 08.03.2012 05.03.2012 27.02.2012 20.02.2012 27.01.2012 01.03.2011 21.02.2011 11.08.2010 10.03.2010


27.02.2013

New World Development Co Ltd New World Development Company Limited, through its subsidiaries, develops and invests in properties, provides contracting services, property management, and transportation services. The Company also operates infrastructure business, telecommunication services, department stores, hotels and restaurants, and media and technology business.

Price/Volume 14

80.0 M

12

70.0 M

10

60.0 M 50.0 M

8

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (25.01.2013) 52-Week Low (25.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 17 HK EQUITY YTD Change 17 HK EQUITY YTD % CHANGE

06/2012 01/yy 15.12 7.95 24'260'265.00 13.76 -8.99% 73.08% 74.06% 6'262.7 86'174.63 86'000.40 0.0 34'497.8 28'494.70 178'178.12

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

1.20 1.00

30.0 M

4

20.0 M

2

10.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 30.06.2008 29'360.8 3.79x 3'779.7 29.43x 9'685.7 6.13x

40.0 M

6

30.06.2009 30.06.2010 24'415.0 30'218.6 4.65x 3.41x 3'222.7 7'152.5 35.25x 14.40x 2'083.5 12'398.6 25.49x 4.01x Profitability

30.06.2011 32'882.0 3.43x 7'554.0 14.93x 9'153.9 5.07x

30.06.2012 35'620.1 4.14x 10'816.0 13.63x 10'139.0 4.79x 10'816.00 9'211.80 25.86% 52.56% 3.93% 8.92% 6.96% 0.14% 44.1% 30.4% 25.9% 28.5% 2.09 0.62 30.03% 69.61% 12.66 0.41

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

2.76 1.25 3'688.22 34.62% 14.48% 1.250 16 4.125 17'036'140 22'056'280 19'201'520 FY+2

FQ+1

FQ+2

06/13 Y 06/14 Y 09/11 Q1 12/11 Q2 44'957.2 47'812.0 3.92x 3.58x 11'720.1 12'223.8 15.20x 14.58x 6'785.1 7'517.1 12.57x 11.23x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

3.62 2.70 5.32 7.95 69.6% 35.2% 0.14 0.40 28.91 895.87 75.94 848.84

Sales/Revenue/Turnover

35'000.0 30'000.0 25'000.0

0.80

20'000.0 0.60

15'000.0

0.40

10'000.0 5'000.0

0.20

0.0 0.00

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

New World Development Co Ltd Holdings By:

All

Holder Name CHOW TAI FOOK ENTERP JP MORGAN CHASE & CO UBS AG ANDERSON & KIRKWOOD WING FUNG DEVELOPMEN BLACKROCK FUND ADVIS VANGUARD GROUP INC UBS AG HSBC HOLDINGS PLC STATE STREET GLOBAL BLACKROCK GROUP LIMI ALLIANCEBERNSTEIN LP LORD ABBETT & CO LLC FIDELITY MANAGEMENT UBS INSTITUTIONAL FU LANDESBANK BERLIN IN YU YEK ENTERPRISES C THRIVENT FINANCIAL F SANFORD C BERNSTEIN UBS FUND MANAGEMENT

Firm Name EVA Dimensions JPMorgan Macquarie DBS Vickers Goldman Sachs Nomura Citi CLSA Asia Pacific Markets UOB Kay Hian Barclays Capital RBS Deutsche Bank

Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst TEAM COVERAGE AMY LUK DAVID NG JEFF YAU JUSTIN KWOK PAUL LOUIE ANIL DASWANI RICKY MUI SYLVIA WONG ANDREW LAWRENCE FAN TSO TONY TSANG

Source EXCH EXCH EXCH EXCH EXCH MF-AGG MF-AGG Short EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG

Recommendation overweight overweight outperform fully valued neutral/attractive neutral buy sell sell equalwt/negative buy not rated

Amt Held % Out 2'336'516'714 38.29 289'813'525 4.75 271'444'295 4.45 118'605'933 1.94 99'921'534 1.64 55'074'340 0.9 53'448'857 0.88 (49'437'410) -0.81 23'004'884 0.38 21'287'962 0.35 19'504'547 0.32 17'813'469 0.29 17'620'000 0.29 15'153'107 0.25 13'661'500 0.22 10'814'000 0.18 10'770'332 0.18 10'475'650 0.17 10'286'531 0.17 8'796'586 0.14

Weighting 5 5 5 2 3 3 5 1 1 3 5 #N/A N/A

Change D M M D M M M D M U M M

Latest Chg (60'000) 16'251'684 515'582 572'849 (63'241) 17'620'000 4'328'997 3'317'500 2'576'550 (6'820'000) (91'058)

Target Price #N/A N/A 13 14 9 9 10 12 8 6 7 23 #N/A N/A

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 05.01.2012 Corporation 14.02.2012 Investment Advisor 24.10.2011 Investment Advisor 05.01.2012 n/a 05.01.2012 n/a 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 24.10.2011 Investment Advisor 25.11.2011 Investment Advisor 30.06.2011 Investment Advisor 08.03.2012 Investment Advisor 31.01.2012 Investment Advisor 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 30.11.2011 Mutual Fund Manager 31.01.2012 Mutual Fund Manager 05.01.2012 n/a 31.10.2011 Investment Advisor 31.01.2012 Investment Advisor 30.12.2011 Investment Advisor

Date Not Provided 9 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month Not Provided

Date 05.03.2012 01.03.2012 01.03.2012 01.03.2012 29.02.2012 29.02.2012 15.02.2012 27.01.2012 16.12.2011 02.11.2011 25.05.2011 01.03.2011


27.02.2013

PetroChina Co Ltd PetroChina Company Limited explores, develops, and produces crude oil and natural gas. The Company also refines, transports, and distributes crude oil and petroleum products, produces and sells chemicals, and transmits, markets and sells natural gas.

Price/Volume 14

300.0 M

12

250.0 M

10

200.0 M

8

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (29.02.2012) 52-Week Low (05.09.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 857 HK EQUITY YTD Change 857 HK EQUITY YTD % CHANGE

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

100.0 M

4

50.0 M

2 0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 836'353.0 6.35x 269'727.0 19.70x 146'750.0 15.86x

150.0 M

6

12/2011 09/yy 11.90 9.03 62'814'232.00 10.56 -11.26% 16.94% 54.01% 21'098.9 2'030'256.38 318'002.00 0.0 79'801.0 61'590.00 2'047'380.42

31.12.2008 31.12.2009 1'072'604.0 1'019'275.0 1.78x 2.57x 256'680.0 237'168.0 7.45x 11.04x 114'453.0 103'387.0 9.49x 14.65x Profitability

LTM-4Q 31.12.2010 1'465'415.0 1.54x 303'643.0 7.43x 139'992.0 11.33x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

LTM

FY+1

3.74 0.96 20'807.38 -4.38% -3.83% 0.965 34 3.471 77'937'110 67'228'580 65'654'560 FY+2

FQ+1

FQ+2

31.12.2011 09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 2'003'843.0 ######### ######### ######### ######### 554'837.7 586'637.0 1.04x 4.76x 4.52x 1.00x 0.95x 323'368.0 276'681.0 332'794.0 330'593.5 369'727.8 85'381.0 6.43x 5.82x 6.10x 6.19x 5.54x 132'961.0 122'069.0 143'368.0 120'788.5 138'412.9 29'085.3 30'297.0 10.74x 11.62x 10.18x 12.88x 11.12x 12.78x 12.28x S&P Issuer Ratings 323'368.00 Long-Term Rating Date 185'295.00 Long-Term Rating 9.25% Long-Term Outlook 9.19% Short-Term Rating Date 6.68% Short-Term Rating 12.80% Credit Ratios 10.29% EBITDA/Interest Exp. 1.09% (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA - Total Debt/EBITDA 15.5% Reference 8.5% Total Debt/Equity 6.6% Total Debt/Capital Asset Turnover 0.68 Net Fixed Asset Turnover 0.23 Accounts receivable turnover-days 16.58% Inventory Days 31.71% Accounts Payable Turnover Day 28.58 Cash Conversion Cycle -

Price/ Cash Flow

27.94 4.79 1.07 1.34 31.7% 22.7% 1.09 1.54 12.81 -

Sales/Revenue/Turnover

12.00

1'600'000.0 1'400'000.0

10.00

1'200'000.0 8.00

1'000'000.0 800'000.0

6.00

600'000.0

4.00

400'000.0 2.00 0.00 04.01.2008

200'000.0 0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

PetroChina Co Ltd Holdings By:

All

Holder Name FRANKLIN RESOURCES I ABERDEEN ASSET MANAG JP MORGAN CHASE & CO VANGUARD GROUP INC BLACKROCK FUND ADVIS HARBOR CAPITAL ADVIS BLACKROCK INC STATE STREET GLOBAL CHINA NATIONAL PETRO FIDELITY INTERNATION BLACKROCK GROUP LIMI MAPS INVESTMENT MANA SCHRODER INVESTMENT SHINHAN BNP PARIBAS TEMPLETON INVESTMENT BANK OF NEW YORK MEL INVESCO ASSET MANAGE PRUDENTIAL FINANCIAL HARVEST FUND MANAGEM ROBECO INVESTOR SERV

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Nomura SONIA SONG Standard Chartered YOSSAVEE SUTTIKULPANICH Sanford C. Bernstein & Co NEIL BEVERIDGE Jefferies LABAN YU BOCOM International Holdings FEI WU ICBC International Securities ANNA YU Barclays Capital SCOTT DARLING Goldman Sachs NILESH BANERJEE Credit Suisse DAVID HEWITT UOB Kay Hian YAN SHI BNP Paribas Equity Research CHENG KHOO Morgan Stanley WEE KIAT TAN CLSA Asia Pacific Markets SIMON POWELL Yuanta Securities Investment ConsultingKIM-CHONG TAN DBS Vickers WEE KEAT LEE Citic Securities Co., Ltd TEAM COVERAGE Macquarie JAMES HUBBARD Mizuho Securities ANDREW S F CHAN Daiwa Securities Capital Markets Co. ADRIAN LOH Guotai Junan GRACE LIU Deutsche Bank DAVID HURD Mirae Asset Securities GORDON KWAN Citi GRAHAM CUNNINGHAM Capital Securities Corp TEAM COVERAGE EVA Dimensions TEAM COVERAGE GuoSen Securities Co Ltd STEVEN LU JPMorgan BRYNJAR EIRIK BUSTNES RBS DANNY HUANG Bank of China International LAWRENCE LAU China International Capital Corp BIN GUAN SWS Research Co Ltd YE RONG Ji Asia SAMUEL THAWLEY Masterlink Securities LI XIN HSBC PAUL SPEDDING Industrial Securities FANG LEI

Source EXCH Co File EXCH MF-AGG MF-AGG MF-AGG Short MF-AGG 20F MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation reduce in-line market perform buy long-term buy hold overwt/positive neutral/neutral outperform sell buy Equalwt/Attractive buy buy hold buy outperform buy hold buy hold buy buy buy buy neutral underweight hold hold accumulate neutral buy buy underweight strong buy

Amt Held % Out 1'270'171'357 6.02 1'266'618'163 6 1'145'827'799 5.43 779'925'744 3.7 488'036'000 2.31 350'420'000 1.66 (205'913'612) -0.98 188'084'081 0.89 149'892'000 0.71 145'160'733 0.69 131'898'965 0.63 103'658'000 0.49 102'484'000 0.49 82'221'243 0.39 78'272'272 0.37 68'980'000 0.33 68'240'000 0.32 65'855'324 0.31 64'740'000 0.31 63'862'000 0.3

Weighting

Change 2 3 3 5 5 3 5 3 5 1 5 3 5 5 3 5 5 5 3 5 3 5 5 5 5 3 1 3 3 4 3 5 5 1 5

M M M M D M M M M D M M M M M M M M M M M M U M M M M M D M M M M M N

Latest Chg 2'802'000 (34'000) (6'262'000) 1'660'670 43'967'533 (126'000) (9'126'000) (3'216'000) (30'454'000) 10'000'000 (20'470'000) 1'676'000 15'288'000 (310'000)

Target Price 11 11 12 16 13 11 14 12 14 11 13 11 14 13 10 11 14 13 10 12 11 13 12 12 #N/A N/A #N/A N/A 9 10 11 12 10 11 11 8 #N/A N/A

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 20.01.2011 Investment Advisor 31.12.2010 Investment Advisor 14.09.2011 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 07.02.2012 Investment Advisor 30.06.2011 Investment Advisor 31.03.2011 Government 31.10.2011 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Mutual Fund Manager 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 31.03.2011 Investment Advisor 08.03.2012 Investment Advisor 29.07.2011 Mutual Fund Manager 31.01.2012 Investment Advisor 30.06.2011 Investment Advisor 31.12.2011 Investment Advisor

Date Not Provided 12 month 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided 12 month 6 month 12 month 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided 9 month 12 month Not Provided 12 month Not Provided 12 month 6 month Not Provided Not Provided

Date 12.03.2012 09.03.2012 09.03.2012 08.03.2012 07.03.2012 07.03.2012 05.03.2012 01.03.2012 27.02.2012 15.02.2012 09.02.2012 07.02.2012 02.02.2012 19.01.2012 11.01.2012 09.01.2012 06.01.2012 06.01.2012 06.01.2012 06.01.2012 04.01.2012 21.12.2011 14.12.2011 05.12.2011 30.11.2011 22.11.2011 21.11.2011 01.11.2011 28.10.2011 28.10.2011 28.10.2011 19.10.2011 30.08.2011 23.08.2011 20.07.2009


27.02.2013

Ping An Insurance Group Co of China Ltd Ping An Insurance (Group) Company of China Limited provides a variety of insurance service in China. The Company writes property, casualty, and life insurance. Ping An Insurance also offers financial services.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.10.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 2318 HK EQUITY YTD Change 2318 HK EQUITY YTD % CHANGE

12/2011 09/yy 72.70 53.00 12'060'858.00 63.85 -12.17% 20.47% 54.57% 3'129.7 469'359.63 322'062.00 0.0 40'475.0 94'582.00 640'835.80

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

140.0 M 120.0 M 100.0 M 80.0 M 60.0 M 40.0 M 20.0 M .0 M j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 139'137.0 5.10x 18'688.0 30.00x

100 90 80 70 60 50 40 30 20 10 0 m-11 a-11 m-11

31.12.2008 31.12.2009 87'666.0 152'961.0 3.19x 3.24x 1'418.0 13'883.0 173.82x 31.68x Profitability

LTM-4Q 31.12.2010 195'052.0 3.37x 17'311.0 32.03x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

31.12.2011 272'683.0 2.06x 19'475.0 16.61x 19.28% 11.01% 1.05% 14.71% 9.85% 0.16% 7.1% 14.09% 246.10% -

Price/ Cash Flow

LTM

FY+1

0.78 1.47 1'564.20 -2.47% -1.62% 1.472 31 4.194 12'205'280 45'993'940 35'043'860 FY+2

FQ+1

FQ+2

09/yy 09/yy 12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 176'410.0 249'642.0 323'723.8 384'490.9 12.40x 4.85x 1.76x 1.49x 0.0 0.0 0.00x 0.00x 18'264.0 19'074.0 21'975.0 28'845.0 27.76x 14.56x 17.99x 13.94x S&P Issuer Ratings Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

246.1% 65.3% 0.16 -

Sales/Revenue/Turnover

18.00

250'000.0

16.00

200'000.0

14.00 12.00

150'000.0

10.00 8.00

100'000.0

6.00

50'000.0

4.00 2.00 0.00 04.01.2008

0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Ping An Insurance Group Co of China Ltd Holdings By:

All

Holder Name HSBC HOLDINGS PLC JP MORGAN CHASE & CO BLUM RICHARD CHARLES VANGUARD GROUP INC JINJUN CO LTD CAPITAL WORLD INVEST BLACKROCK FUND ADVIS CAPITAL RESEARCH GLO FIDELITY INTERNATION SCHRODER INVESTMENT MATTHEWS INTERNATION STATE STREET GLOBAL T ROWE PRICE ASSOCIA MAPS INVESTMENT MANA BLACKROCK GROUP LIMI GAM INTERNATIONAL MA MIRAE ASSET INVESTME SCHRODER KOREA LTD SHINHAN BNP PARIBAS UBS STRATEGY FUND MG

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Nomura DAVID CHUNG JPMorgan CHAN BAO LING BNP Paribas Equity Research ELLIE LI Citi DARWIN LAM DBS Vickers PING CHENG Phillip Securities CHEN XINGYU Keefe, Bruyette & Woods STANLEY TSAI BOCOM International Holdings LI WENBING SWS Research Co Ltd ROBERT HU Credit Suisse ARJAN VAN VEEN Deutsche Bank ESTHER CHWEI Core Pacific OLIVE XIA Macquarie SCOTT G RUSSELL Standard Chartered PETER O'BRIEN ICBC International Securities PIUS CHENG HSBC JAMES GARNER Barclays Capital MARK KELLOCK CLSA Asia Pacific Markets PATRICIA CHENG Morgan Stanley BEN LIN CCB International Securities Ltd KENNETH YUE AMTD Financial Planning Limited KENNY TANG SING HING Kim Eng Securities IVAN LI EVA Dimensions TEAM COVERAGE Daiwa Securities Capital Markets Co. JENNIFER LAW Capital Securities Corp TEAM COVERAGE Yuanta Securities Investment ConsultingBARON NIE China International Capital Corp MAO JUNHUA Mirae Asset Securities IVAN CHEUNG Goldman Sachs NING MA RBS YANAN WANG Guotai Junan FELIX LUO Citic Securities Co., Ltd HUANG HUAMIN Bank of China International YUAN LIN China Merchants Securities LUO JINMING

Source EXCH EXCH EXCH MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation buy overweight hold buy buy buy outperform buy neutral neutral buy buy outperform outperform hold overweight overwt/positive underperform Overwt/In-Line outperform buy buy sell buy buy buy buy hold Buy/Neutral hold buy buy hold buy

Amt Held 1'233'926'425 250'370'191 139'088'758 79'530'119 76'000'000 71'169'000 57'662'500 41'791'000 31'918'632 30'571'000 19'016'000 15'276'733 14'607'000 12'761'661 11'049'023 9'443'000 8'511'000 7'915'000 7'909'202 6'756'400

% Out 39.43 8 4.44 2.54 2.43 2.27 1.84 1.34 1.02 0.98 0.61 0.49 0.47 0.41 0.35 0.3 0.27 0.25 0.25 0.22

Weighting

Change 5 5 3 5 5 5 5 5 3 3 5 5 5 5 3 5 5 1 5 5 5 5 1 5 5 5 5 3 5 3 5 5 3 5

M M M M M M M M D M M M M M M M M D M M M M M M M M M D M M M M M M

Latest Chg (160'000'000) (3'492'035) (120'000'000) (8'810'000) (44'000) 3'775'000 (10'528'042) 1'219'500 748'000 123'198 (373'000) 10'727'000 (7'000) 415'000 843'000 (6'064'500) (5'587'500) (35'500)

Target Price 97 72 66 73 76 80 83 81 62 73 73 73 75 75 63 73 104 55 70 83 62 75 #N/A N/A 100 65 75 77 58 69 84 105 101 65 60

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 17.06.2011 Investment Advisor 10.01.2012 Investment Advisor 17.05.2010 n/a 31.12.2011 Investment Advisor 24.08.2011 Corporation 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 30.06.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Mutual Fund Manager 08.03.2012 Investment Advisor 31.01.2012 Investment Advisor 30.09.2011 Investment Advisor 30.09.2011 Mutual Fund Manager 30.09.2011 Investment Advisor 30.11.2011 Investment Advisor

Date Not Provided 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month 12 month 12 month 12 month Not Provided 6 month Not Provided Not Provided

Date 12.03.2012 09.03.2012 07.03.2012 06.03.2012 02.03.2012 02.03.2012 29.02.2012 22.02.2012 15.02.2012 13.02.2012 10.02.2012 06.02.2012 01.02.2012 25.01.2012 18.01.2012 16.01.2012 09.01.2012 08.01.2012 21.12.2011 21.12.2011 21.12.2011 30.11.2011 30.11.2011 08.11.2011 01.11.2011 27.10.2011 27.10.2011 18.10.2011 09.10.2011 01.08.2011 28.10.2010 25.06.2010 19.04.2010 12.02.2009


27.02.2013

Power Assets Holdings Ltd Power Assets Holdings Limited generates and supplies electricity and provides engineering consultancy and project management services.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (26.02.2013) 52-Week Low (31.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 6 HK EQUITY YTD Change 6 HK EQUITY YTD % CHANGE

12/2011 01/yy 72.80 53.40 5'003'860.00 68.65 -5.70% 28.56% 90.46% 2'134.3 146'517.06 23'626.00 0.0 0.0 6'121.00 165'129.07

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover Price/ Cash Flow

1.20 1.00

14.0 M

60

12.0 M

50

10.0 M

40

8.0 M

30

6.0 M

20

4.0 M

10

2.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 12'524.0 7.75x 9'437.0 10.28x 7'448.0 12.85x

70

31.12.2008 31.12.2009 12'773.0 10'395.0 7.40x 9.35x 9'633.0 7'428.0 9.81x 13.09x 8'029.0 6'697.0 11.57x 13.44x Profitability

31.12.2010 10'371.0 12.01x 7'449.0 16.72x 7'194.0 14.54x

31.12.2011 10'201.0 9'075.0 13.52x 6'628.00 4'793.00 46.99% 97.37% 9.87% 16.18% 12.04% 0.11% 60.5% 64.0% 46.2% 89.0% 2.19 1.58 24.94% 40.82% 11.78 4.46

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

3.38 0.44 1'304.41 28.09% 3.70% 0.440 19 3.737 2'214'125 2'328'549 2'529'664 FY+2

12/12 Y 12/13 Y 10'586.5 10'825.3 15.45x 14.97x 8'425.5 8'659.3 19.60x 19.07x 9'583.4 10'010.4 15.27x 14.58x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

09.11.2010 A+ STABLE 9.94 6.22 2.79 3.78 40.8% 29.0% 0.11 0.22 31.07 82.00 202.29 -106.49

Sales/Revenue/Turnover

14'000.0 12'000.0 10'000.0

0.80

8'000.0 0.60

6'000.0

0.40

4'000.0 2'000.0

0.20

0.0 0.00

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Power Assets Holdings Ltd Holdings By:

All

Holder Name CHEUNG KONG INFRASTR CAPITAL RESEARCH AND CAPITAL WORLD INVEST CAPITAL RESEARCH GLO BLACKROCK FUND ADVIS PICTET ASSET MANAGEM VANGUARD GROUP INC FIDELITY MANAGEMENT STATE STREET GLOBAL VONTOBEL ASSET MANAG DAIWA SB INVESTMENTS HARRIS TRUST & SAVIN BLACKROCK GROUP LIMI COHEN & STEERS CAPIT SUMITOMO MITSUI ASSE BNP PARIBAS ASSET MG GRANTHAM MAYO VAN OT RAIFFEISEN KAPITALAN JP MORGAN CHASE & CO SWEDBANK ROBUR FONDE

Firm Name Standard Chartered Credit Suisse JPMorgan Bank of China International DBS Vickers Nomura Mirae Asset Securities RBS Morgan Stanley Sanford C. Bernstein & Co Deutsche Bank Macquarie EVA Dimensions AMTD Financial Planning Limited Citi Goldman Sachs Daiwa Securities Capital Markets Co.

Portfolio Name n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst LI EVAN EDWIN PANG ELAINE WU PETER YAO JUNE NG IVAN LEE RICKY NG JENNY COSGROVE SIMON H Y LEE MICHAEL W PARKER ERIC CHENG ADAM WORTHINGTON TEAM COVERAGE KENNY TANG SING HING PIERRE LAU FRANKLIN CHOW DAVE DAI

Source Co File EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation outperform neutral overweight hold hold buy hold hold Equalwt/In-Line market perform hold neutral hold buy buy neutral/neutral outperform

Amt Held 829'599'612 170'522'000 112'474'000 57'384'000 20'513'000 19'270'364 13'592'639 12'681'676 12'401'697 8'078'902 7'954'500 5'863'391 4'552'000 4'160'600 3'434'000 2'616'730 2'417'500 1'800'000 1'642'482 1'467'000

% Out 38.87 7.99 5.27 2.69 0.96 0.9 0.64 0.59 0.58 0.38 0.37 0.27 0.21 0.19 0.16 0.12 0.11 0.08 0.08 0.07

Weighting

Change 5 3 5 3 3 5 3 3 3 3 3 3 3 5 5 3 5

M M M M M M M M M M M M U M M M N

Latest Chg (4'241'500) (5'000'000) (25'000) (1'879'000) 348'000 (1'255'000) 147'247 429'900 2'074'849 69'000 15'000 281'078 (45'000) (7'000) (8'000)

Target Price 66 62 69 62 61 57 61 59 58 50 58 57 #N/A N/A 60 69 64 68

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 31.12.2010 Corporation 18.11.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 30.12.2011 Mutual Fund Manager 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 30.06.2011 Investment Advisor 30.11.2011 Investment Advisor 27.09.2011 Investment Advisor 30.12.2011 Unclassified 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.11.2011 Investment Advisor 31.12.2011 Investment Advisor 31.05.2011 Investment Advisor 29.12.2011 Investment Advisor 31.01.2012 Investment Advisor 30.09.2011 Investment Advisor

Date 12 month Not Provided 3 month Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided 12 month Not Provided

Date 08.03.2012 08.03.2012 08.03.2012 08.03.2012 08.03.2012 08.03.2012 08.03.2012 07.03.2012 07.03.2012 07.03.2012 20.02.2012 19.01.2012 07.01.2012 14.12.2011 04.10.2011 01.09.2011 12.08.2011


27.02.2013

Sino Land Co Ltd Sino Land Company Limited, through its subsidiaries, develops and invests in properties, trades and invests in securities, and provides financing services. The Company also operates hotels and provides building management services.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (18.01.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 10.12.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 83 HK EQUITY YTD Change 83 HK EQUITY YTD % CHANGE

06/2012 01/yy 15.60 10.10 7'879'129.00 13.64 -12.56% 35.05% 57.45% 5'940.2 81'024.55 10'008.88 0.0 686.0 5'613.29 86'106.15

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

40.0 M

14

35.0 M

12

30.0 M

10

25.0 M

8

20.0 M

6

15.0 M

4

10.0 M

2

5.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 30.06.2008 6'251.1 14.01x 2'629.0 33.30x 7'721.0 9.62x

16

30.06.2009 30.06.2010 9'692.7 7'697.9 7.48x 10.85x 4'377.2 3'771.4 16.55x 22.14x 3'730.6 6'093.7 16.66x 11.21x Profitability

30.06.2011 5'944.2 12.26x 3'025.5 24.08x 10'544.3 6.08x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

30.06.2012 8'395.8 8.79x 4'033.1 18.29x 9'910.6 6.87x 4'033.06 3'937.13 46.89% 134.52% 8.93% 11.63% 10.25% 0.08% 53.1% 48.0% 46.9% 118.0% 4.83 1.04 8.85% 11.16% 5.89 0.17

Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

3.37 1.13 2'527.03 2.21% -2.15% 1.135 21 3.952 8'330'243 7'792'854 6'502'429 FY+2

06/13 Y 06/14 Y 7'107.1 11'576.5 11.77x 6.79x 3'389.8 5'272.8 25.40x 16.33x 6'314.8 5'934.8 12.99x 13.64x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

18.44 17.25 1.09 2.48 11.2% 10.0% 0.08 0.16 62.15 2199.70 21.07 2240.78

Sales/Revenue/Turnover

80.00

12'000.0

70.00

10'000.0

60.00

8'000.0

50.00 40.00

6'000.0

30.00

4'000.0

20.00

2'000.0 10.00 0.00 04.07.2008

0.0 04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Sino Land Co Ltd Holdings By:

All

Holder Name TSIM SHA TSUI PROPER SPANGLE INVESTMENT L KA FAI LAND INVESTME SOLID CAPITAL HOLDIN BRIGHTER INVESTMENT MAILCOACH INVESTMENT CRENSHAW INVESTMENT CAPITAL WORLD INVEST PUI CHEE ENTERPRISES TENG FONG NG ARTISAN PARTNERS HOL SAVANNA INVESTMENT L ACCOMPLISHMENT INVES FIDELITY INTERNATION CAPITAL RESEARCH GLO MYSTIQUE INVESTMENT ORCHARD CENTRE HOLDI BLACKROCK FUND ADVIS RAMAGE INVESTMENT LT VANGUARD GROUP INC

Firm Name Standard Chartered Credit Suisse JPMorgan Macquarie DBS Vickers CLSA Asia Pacific Markets Deutsche Bank Goldman Sachs Citi HSBC Daiwa Securities Capital Markets Co. Nomura CCB International Securities Ltd BOCOM International Holdings Mirae Asset Securities Citic Securities Co., Ltd EVA Dimensions UOB Kay Hian Barclays Capital Bank of China International AMTD Financial Planning Limited Haitong International Securities RBS

Portfolio Name n/a n/a n/a n/a n/a n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios n/a Multiple Portfolios

Analyst PAUL YAU CUSSON LEUNG AMY LUK DAVID NG JEFF YAU SUSANNA LEUNG TONY TSANG ANTHONY WU KEN YEUNG PERVEEN WONG JONAS KAN PAUL LOUIE EDMOND CHAN ALFRED LAU KEITH YEUNG ADRIAN NGAN TEAM COVERAGE SYLVIA WONG ANDREW LAWRENCE VENANT CHIANG KENNY TANG SING HING KATIE CHAN FAN TSO

Source EXCH EXCH EXCH EXCH EXCH EXCH EXCH MF-AGG EXCH EXCH MF-AGG EXCH EXCH MF-AGG MF-AGG EXCH EXCH MF-AGG EXCH MF-AGG

Recommendation underperform neutral overweight outperform buy underperform buy buy/attractive buy neutral buy buy outperform neutral hold overweight underweight hold underwt/negative buy buy buy hold

Amt Held 1'354'753'892 365'299'181 320'084'804 257'888'730 254'563'330 153'905'885 153'372'974 138'186'105 101'847'979 90'287'083 72'078'380 64'798'883 51'906'778 48'391'550 48'296'366 44'183'953 42'112'235 38'608'599 33'473'488 30'953'096

% Out 23.01 6.2 5.44 4.38 4.32 2.61 2.6 2.35 1.73 1.53 1.22 1.1 0.88 0.82 0.82 0.75 0.72 0.66 0.57 0.53

Weighting

Change 1 3 5 5 5 1 5 5 5 3 5 5 5 3 3 5 1 3 1 5 5 5 3

M D M M M M M M M D M M M M M D M U D N N M M

Latest Chg (11'220'912) (1'212'200) 24'699'177 (1) (30'000) 1'021'406

Target Price 13 13 15 16 16 14 16 13 19 14 14 18 16 12 13 16 #N/A N/A 11 10 12 12 16 13

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 08.12.2011 08.12.2011 08.12.2011 30.03.2010 08.12.2011 08.12.2011 08.12.2011 31.12.2011 08.12.2011 08.12.2011 30.06.2011 08.12.2011 08.12.2011 31.10.2011 31.12.2011 08.12.2011 08.12.2011 08.03.2012 08.12.2011 31.12.2011

Date 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month 6 month Not Provided Not Provided Not Provided Not Provided Not Provided 12 month 12 month

Inst Type Corporation Investment Advisor Investment Advisor Holding Company Investment Advisor Investment Advisor Investment Advisor Investment Advisor Other n/a Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Holding Company Investment Advisor Investment Advisor Investment Advisor

Date 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 27.02.2012 22.02.2012 07.02.2012 31.01.2012 03.01.2012 02.11.2011 11.10.2011 02.09.2011 30.05.2011 24.05.2011


27.02.2013

Sun Hung Kai Properties Ltd Sun Hung Kai Properties Limited, through its subsidiaries, develops and invests in properties. The Company also operates hotels, manages properties, car parking and transportation infrastructure. In addition, Sun Hung Kai operates logistics business, construction, financial services, telecommunication Internet infrastructure and enabling services.

Price/Volume

Latest Fiscal Year: LTM as of: 52-Week High (24.01.2013) 52-Week Low (18.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 16 HK EQUITY YTD Change 16 HK EQUITY YTD % CHANGE

06/2012 01/yy 130.80 85.30 4'074'469.00 119 -9.02% 39.51% 70.33% 2'656.9 316'173.75 71'266.00 0.0 4'400.0 15'049.00 376'790.75

16.0 M 14.0 M 12.0 M

80

10.0 M

60

8.0 M 6.0 M

40

4.0 M

20

2.0 M

0 m-11

30.06.2009 30.06.2010 34'234.0 33'211.0 8.36x 9.55x 15'138.0 14'752.0 18.90x 21.50x 10'356.0 30'039.0 23.96x 9.17x Profitability

30.06.2011 62'553.0 5.56x 22'381.0 15.54x 48'097.0 6.06x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

30.06.2012 68'400.0 4.37x 26'339.0 11.35x 43'080.0 5.48x 26'339.00 24'801.00 36.26% 71.77% 9.78% 13.18% 11.37% 0.16% 42.8% 38.5% 36.3% 63.0% 3.74 0.67 15.24% 20.56% 5.15 0.36

Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

FY+1 -

2.82 0.99 2'138.87 4.41% 2.41% 0.992 24 4.417 5'160'435 4'808'832 4'625'676 FY+2

06/13 Y 06/14 Y 63'647.4 69'049.6 5.85x 5.28x 26'704.8 28'582.2 14.11x 13.18x 22'332.0 22'847.0 14.33x 13.75x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

15.06.2012 A+ NEG 13.52 10.37 2.13 2.71 20.6% 16.9% 0.16 0.28 71.06 1013.07 14.12 1070.00

Sales/Revenue/Turnover

35.00

70'000.0

30.00

60'000.0

25.00

50'000.0

20.00

40'000.0

15.00

30'000.0

10.00

20'000.0

5.00

10'000.0

0.00 04.07.2008

.0 M a-11 m-11

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

18.0 M

120 100

Valuation Analysis

30.06.2008 24'471.0 12.62x 11'640.0 26.54x 27'602.0 9.73x

140

0.0 04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Sun Hung Kai Properties Ltd Holdings By:

All

Holder Name ADOLFA LTD BERTANA LTD CYRIC LTD ASPORTO LTD ROSY RESULT LTD THRIVING TALENT LTD BLACKROCK FUND ADVIS VANGUARD GROUP INC FIDELITY INTERNATION ABERDEEN ASSET MANAG SIMBAWEST LTD STATE STREET GLOBAL CANNIA LTD ING INVESTMENT MANAG COHEN & STEERS CAPIT SCHRODER INVESTMENT MORGAN STANLEY ARTISAN PARTNERS HOL FIDELITY MANAGEMENT BLACKROCK GROUP LIMI

Firm Name EVA Dimensions Standard Chartered Credit Suisse JPMorgan Macquarie DBS Vickers Nomura UOB Kay Hian CLSA Asia Pacific Markets BOCOM International Holdings AMTD Financial Planning Limited Deutsche Bank Morgan Stanley Goldman Sachs Jefferies Citi HSBC Daiwa Securities Capital Markets Co. CCB International Securities Ltd Mirae Asset Securities Barclays Capital Bank of China International RBS Redford Assets Management Ltd

Portfolio Name n/a n/a n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst TEAM COVERAGE PAUL YAU CUSSON LEUNG LUCIA KWONG DAVID NG JEFF YAU PAUL LOUIE SYLVIA WONG NICOLE WONG ALFRED LAU KENNY TANG SING HING JASON CHING PRAVEEN K CHOUDHARY ANTHONY WU CHRISTIE JU OSCAR CHOI PERVEEN WONG JONAS KAN EDMOND CHAN KEITH YEUNG ANDREW LAWRENCE VENANT CHIANG FAN TSO LAM KA KEI

Source EXCH EXCH EXCH EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation hold in-line outperform overweight neutral buy buy hold underperform buy buy buy Overwt/In-Line buy/attractive buy buy overweight buy outperform reduce equalwt/negative buy hold buy

Amt Held 200'309'286 200'309'286 200'309'286 163'889'416 163'889'416 163'889'416 22'589'000 20'784'723 18'313'657 17'919'885 16'465'621 13'743'323 12'298'993 11'719'670 10'987'900 10'524'000 9'827'350 9'140'100 9'082'315 8'122'200

% Out 7.66 7.66 7.66 6.27 6.27 6.27 0.86 0.79 0.7 0.69 0.63 0.53 0.47 0.45 0.42 0.4 0.38 0.35 0.35 0.31

Weighting

Change 3 3 5 5 3 5 5 3 1 5 5 5 5 5 5 5 5 5 5 2 3 5 3 5

U M M M D M M M M M M M M M M M M M M D D N M M

Latest Chg (21'000) 2'583'686 6'300'524 633'082 118'490 1'915'000 773'889 4'658'760 52'495 361'000 280'679 (7'000)

Target Price #N/A N/A 130 127 138 130 131 155 127 123 143 128 131 112 132 144 166 136 145 148 100 92 122 131 140

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt 19.01.2012 19.01.2012 19.01.2012 19.01.2012 19.01.2012 19.01.2012 08.03.2012 31.12.2011 30.12.2011 31.01.2012 19.01.2012 30.06.2011 19.01.2012 31.12.2011 08.03.2012 31.12.2011 31.12.2011 30.06.2011 31.01.2012 08.03.2012

Date Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month Not Provided

Inst Type n/a n/a n/a n/a n/a n/a Investment Advisor Investment Advisor Investment Advisor Investment Advisor n/a Investment Advisor n/a Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor Investment Advisor

Date 05.03.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 29.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 28.02.2012 22.02.2012 02.11.2011 11.10.2011 24.05.2011 09.03.2011


27.02.2013

Swire Pacific Ltd Swire Pacific Limited, through its subsidiaries, operates in the real estate, aviation, beverage, industrial, marine services, trading, and industrial businesses.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (04.02.2013) 52-Week Low (18.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.08.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 19 HK EQUITY YTD Change 19 HK EQUITY YTD % CHANGE

12/2011 01/yy 101.30 81.15 1'231'775.00 98.7 -2.57% 21.63% 86.85% 905.6 146'289.78 39'919.00 0.0 4'917.0 3'922.00 228'871.77

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

12.0 M

100

10.0 M

80

8.0 M

60

6.0 M

40

4.0 M

20

2.0 M

0 m-11

.0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 21'553.0 8.69x 6'565.0 28.54x 26'260.0 6.23x

120

31.12.2008 31.12.2009 31.12.2010 31.12.2011 24'670.0 24'909.0 29'201.0 36'286.0 4.04x 6.09x 7.10x 4.49x 7'933.0 8'387.0 9'051.0 10'102.0 12.57x 18.10x 22.90x 16.12x 5'853.0 21'893.0 38'252.0 32'210.0 #N/A 13.79x Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability 10'102.00 8'435.00 23.25% 94.21% 5.48% 7.84% 7.03% 0.13% 41.1% 26.9% 22.3% 88.8% 0.81 0.26 13.64% 17.54% 14.29 2.41

Price/ Cash Flow

LTM-4Q

LTM

01/yy

01/yy -

FY+1 -

3.39 0.81 638.67 19.72% 2.97% 0.814 14 3.214 1'060'259 1'204'459 1'251'070 FY+2

12/12 Y 12/13 Y 42'218.0 44'692.4 4.50x 4.29x 13'463.9 12'871.9 17.00x 17.78x 8'831.6 9'565.0 15.67x 15.66x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

FQ+1

FQ+2

-

-

16.08.2005 ASTABLE 5.72 0.10 4.29 5.17 17.5% 14.7% 0.13 0.17 25.61 151.56 33.90 134.00

Sales/Revenue/Turnover

30.00

35'000.0

25.00

30'000.0 25'000.0

20.00

20'000.0 15.00

15'000.0

10.00

10'000.0

5.00

5'000.0

0.00 04.01.2008

0.0 04.07.2008

04.01.2009

04.07.2009

04.01.2010

04.07.2010

04.01.2011

04.07.2011

04.01.2012

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Swire Pacific Ltd Holdings By:

All

Holder Name ELHAM LTD ABERDEEN ASSET MANAG NORTHERN TRUST CORPO JP MORGAN CHASE & CO JOHN SWIRE & SONS HK VANGUARD GROUP INC TAIKOO LTD BLACKROCK FUND ADVIS SCHRODER INVESTMENT FIDELITY INTERNATION SHREWSBURY HOLDINGS WALTHAM LTD MATTHEWS INTERNATION STATE STREET GLOBAL FRANKLIN RESOURCES I T ROWE PRICE ASSOCIA INVESTEC ASSET MANAG FIDELITY INVESTMENTS GARTMORE GROUP LTD TEMPLETON INVESTMENT

Firm Name Goldman Sachs Morgan Stanley Mirae Asset Securities EVA Dimensions Standard Chartered Nomura RBS HSBC DBS Vickers Deutsche Bank Citi JPMorgan CLSA Asia Pacific Markets Bank of China International Credit Suisse Jefferies Macquarie

Portfolio Name n/a n/a n/a n/a n/a Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst SIMON CHEUNG PRAVEEN K CHOUDHARY KEITH YEUNG TEAM COVERAGE JOHN Y F CHAN PAUL LOUIE PHILIP TULK MARK CARMERON ROSS WEBB JEFF YAU KAREN TANG ANIL DASWANI BENJAMIN LO DANIE SCHUTTE VENANT CHIANG CUSSON LEUNG JULIAN BU CALLUM BRAMAH

Source EXCH EXCH Co File EXCH EXCH MF-AGG EXCH MF-AGG MF-AGG MF-AGG EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation Sell/Neutral Equalwt/In-Line reduce underweight outperform buy hold overweight hold hold buy neutral underperform buy neutral buy outperform

Amt Held 169'486'500 100'709'651 54'309'430 45'164'650 39'580'357 15'865'558 12'632'302 11'123'000 10'642'500 9'812'544 9'140'000 8'152'500 7'898'000 6'476'171 4'610'946 3'578'000 3'177'500 3'159'000 2'841'500 2'518'078

% Out 18.72 11.12 6 4.99 4.37 1.75 1.39 1.23 1.18 1.08 1.01 0.9 0.87 0.72 0.51 0.4 0.35 0.35 0.31 0.28

Weighting

Change 1 3 2 1 5 5 3 5 3 3 5 3 1 5 3 5 5

M M M D M M N M M M M M M M M M M

Latest Chg 2'279'594 (15'000) 258'500 (1'489'257) (563'500) 78'955 (15'000) 3'551'000 83'000 60'000 -

Target Price 77 80 69 #N/A N/A 93 117 82 99 77 75 90 75 87 107 77 95 113

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 18.01.2012 Other 10.01.2012 Investment Advisor 31.12.2010 Investment Advisor 05.01.2012 Investment Advisor 18.01.2012 Corporation 31.12.2011 Investment Advisor 18.01.2012 Other 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 18.01.2012 Holding Company 18.01.2012 Corporation 30.12.2011 Investment Advisor 30.06.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2010 Mutual Fund Manager 31.01.2012 Investment Advisor 31.12.2011 Investment Advisor

Date 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided 12 month 12 month Not Provided 12 month Not Provided Not Provided Not Provided 12 month 12 month

Date 27.02.2012 22.02.2012 22.02.2012 20.02.2012 18.02.2012 13.02.2012 03.02.2012 02.02.2012 27.01.2012 18.01.2012 18.01.2012 17.01.2012 08.01.2012 06.01.2012 04.01.2012 04.01.2012 25.11.2011


27.02.2013

Tencent Holdings Ltd Tencent Holdings Limited provides Internet, mobile, and telecommunication value-added services in China. The Company has an instant messaging community in China. Tencent also provides online advertising services.

Price/Volume 250

20.0 M 18.0 M 16.0 M 14.0 M 12.0 M 10.0 M 8.0 M 6.0 M 4.0 M 2.0 M .0 M

200 150

Valuation Analysis

100

Latest Fiscal Year: LTM as of: 52-Week High (02.11.2012) 52-Week Low (07.03.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 700 HK EQUITY YTD Change 700 HK EQUITY YTD % CHANGE

12/2011 09/yy 281.00 193.60 3'479'798.00 264.2 -5.98% 36.47% 83.98% 1'854.0 489'821.78 11'732.77 0.0 624.5 26'328.18 379'150.84

0 m-11

Fiscal Year Ended

LTM-4Q

j-11

LTM

09/yy 17'810.1 53.06x 6'640.6 0.00x 7'360.8 36.03x

a-11

09/yy 26'097.8 40.77x 9'762.2 0.00x 9'866.9 24.87x

s-11

o-11

n-11

d-11

j-12

f-12

FY+1

1.08 963.21 34.42% 6.10% 1.080 36 4.194 3'888'093 3'539'893 3'414'291 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 43'763.7 56'467.1 12'095.3 12'867.6 8.58x 6.45x 18'253.7 22'899.8 4'786.0 5'483.0 20.77x 16.56x 17.33x 16.45x 12'958.6 16'500.5 3'485.8 4'117.2 29.97x 23.70x 24.20x 22.58x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

14.11.2011 BBB+ STABLE 184.14 128.28 -0.89 0.76 41.2% 28.7% 0.66 5.95 23.66 4.95 68.03 -

Sales/Revenue/Turnover

25'000.0

1.00

20'000.0

0.60

j-11

Market Data

1.20

0.80

a-11 m-11

Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 13'356.97 EBIT 11'417.56 Operating Margin 40.07% Pretax Margin 42.46% Return on Assets 19.55% Return on Common Equity 36.93% Return on Capital 28.40% Asset Turnover 0.66% Margin Analysis Gross Margin 65.2% EBITDA Margin 42.3% EBIT Margin 35.9% Net Income Margin 35.8% Structure Current Ratio 1.68 Quick Ratio 1.34 Debt to Assets 20.65% Tot Debt to Common Equity 41.22% Accounts Receivable Turnover 15.47 Inventory Turnover 73.90 Price/ Cash Flow

50

15'000.0 10'000.0

0.40

5'000.0 0.20

0.0 0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Tencent Holdings Ltd Holdings By:

All

Holder Name MIH CHINA BVI LTD HUATENG MA JP MORGAN CHASE & CO ZHIDONG ZHANG VANGUARD GROUP INC FIDELITY INTERNATION T ROWE PRICE ASSOCIA CAPITAL WORLD INVEST WADDELL & REED FINAN OPPENHEIMERFUNDS INC BLACKROCK FUND ADVIS THORNBURG INVESTMENT SHINHAN BNP PARIBAS SCHRODER INVESTMENT STATE STREET GLOBAL INVESCO ASSET MANAGE BNP PARIBAS ASSET MG MANNING & NAPIER ADV CHI PING LAU FIRST STATE INVESTME

Firm Name

Portfolio Name n/a n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios

Analyst

Jefferies CYNTHIA JINHONG MENG Credit Suisse WALLACE CHEUNG Bank of China International JOHNIE HU Daiwa Securities Capital Markets Co. ALICIA HU Brean Murray Carret & Co FAWNE JIANG Nomura JIN YOON CCB International Securities Ltd JONATHAN CHAN Mirae Asset Securities ERIC WEN Standard Chartered DON SEE ICBC International Securities KARY SEI CLSA Asia Pacific Markets ELINOR LEUNG OSK (Asia) Securities BILLY LEUNG BOCOM International Holdings CONNIE XINYU GU Barclays Capital ALICIA YAP Goldman Sachs CATHERINE LEUNG CIMB MICHAEL TING China International Capital Corp JIN YU Piper Jaffray MARK A MAROSTICA Core Pacific KEVIN TAM Susquehanna Financial Group C MING ZHAO Mizuho Securities MARVIN LO EVA Dimensions TEAM COVERAGE Citi RAVI SARATHY Ji Asia JUSTIN WEISS Wedge Partners JUAN LIN Deutsche Bank ALAN HELLAWELL Guotai Junan DUNDAS DENG First Shanghai Securities Ltd TSOI HO RBS WENDY HUANG JPMorgan DICK WEI Yuanta Securities Investment ConsultingKELVIN HO Macquarie JIONG SHAO DBS Vickers BILL HUANG SWS Research Co Ltd JIM TANG Morgan Stanley RICHARD W JI Capital Securities Corp TEAM COVERAGE AMTD Financial Planning Limited KENNY TANG SING HING Pacific Crest Securities STEVE WEINSTEIN Mega Securities TIMOTHY LI PingAn Securities ZHONGZHI LI

Source EXCH EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG

Recommendation hold outperform hold buy buy reduce outperform hold outperform hold buy buy buy equalwt/positive neutral/neutral outperform buy overweight buy Positive underperform hold buy neutral no rating system buy buy buy buy overweight buy underperform buy neutral Overwt/Attractive buy buy outperform hold strong buy

Amt Held 630'240'380 189'892'880 91'396'169 66'750'000 52'455'924 31'769'533 26'348'100 23'591'000 19'274'500 16'235'000 13'395'500 12'053'957 9'832'783 9'128'700 9'004'995 4'912'100 4'757'189 4'336'700 3'753'600 3'420'800

% Out 34.25 10.32 4.97 3.63 2.85 1.73 1.43 1.28 1.05 0.88 0.73 0.66 0.53 0.5 0.49 0.27 0.26 0.24 0.2 0.19

Weighting

Change

3 5 3 5 5 2 5 3 5 3 5 5 5 3 3 5 5 5 5 4 1 3 5 3 #N/A N/A 5 5 5 5 5 5 1 5 3 5 5 5 5 3 5

M M M M M M M M M D M M M M M M M M M M M D M M M M N M M M M M M U M M M M D M

Latest Chg 73'899 (4'391'794) 4'874'800 1'320'000 1'627'000 441'400 8'600 1'345'000 3'088'300 125'010 854'200 (52'860) 26'200 (50'000) -

Target Price 190 234 191 230 225 146 240 180 232 217 260 218 200 193 200 227 220 216 206 225 125 #N/A N/A 237 #N/A N/A #N/A N/A 195 180 210 248 230 229 135 220 156 210 225 220 285 185 188

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 10.01.2012 n/a 09.01.2012 n/a 20.01.2011 Investment Advisor 10.11.2011 n/a 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 29.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.12.2011 Investment Advisor 30.09.2011 Investment Advisor 31.12.2011 Investment Advisor 30.06.2011 Investment Advisor 29.07.2011 Mutual Fund Manager 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 07.09.2011 n/a 31.10.2011 Mutual Fund Manager

Date 12 month Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month 12 month Not Provided Not Provided 12 month 12 month Not Provided 12 month 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided 12 month 12 month 9 month Not Provided 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month 6 month

Date 09.03.2012 07.03.2012 07.03.2012 07.03.2012 06.03.2012 06.03.2012 01.03.2012 27.02.2012 22.02.2012 17.02.2012 16.02.2012 15.02.2012 13.02.2012 09.02.2012 07.02.2012 06.02.2012 01.02.2012 30.01.2012 16.01.2012 13.01.2012 29.12.2011 28.12.2011 14.12.2011 09.12.2011 08.12.2011 01.12.2011 17.11.2011 11.11.2011 10.11.2011 10.11.2011 10.11.2011 10.11.2011 10.11.2011 10.11.2011 09.11.2011 15.08.2011 11.08.2011 02.08.2011 23.03.2010 29.01.2010


27.02.2013

Tingyi Cayman Islands Holding Corp Tingyi (Cayman Islands) Holding Corporation, through its subsidiaries, manufactures and sells instant noodles, baked goods, and beverages in China.

Price/Volume 30

70.0 M

25

60.0 M 50.0 M

20

Latest Fiscal Year: LTM as of: 52-Week High (14.03.2012) 52-Week Low (29.05.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 31.01.2013 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 322 HK EQUITY YTD Change 322 HK EQUITY YTD % CHANGE

12/2011 09/yy 25.05 17.90 11'091'246.00 20.45 -18.36% 14.25% 39.16% 5'593.4 114'384.16 1'250.08 0.0 586.5 590.95 15'725.23

Fiscal Year Ended

1.20 1.00

30.0 M

10

20.0 M

5 0 m-11

10.0 M .0 M a-11 m-11

j-11

j-11

a-11

s-11

o-11

n-11

d-11

j-12

f-12

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 902.56 EBIT 581.32 Operating Margin 7.39% Pretax Margin 8.43% Return on Assets 7.31% Return on Common Equity 22.15% Return on Capital 16.15% Asset Turnover 1.32% Margin Analysis Gross Margin 26.5% EBITDA Margin 13.3% EBIT Margin 9.0% Net Income Margin 5.3% Structure Current Ratio 0.59 Quick Ratio 0.31 Debt to Assets 21.52% Tot Debt to Common Equity 59.53% Accounts Receivable Turnover 32.15 Inventory Turnover 16.33 Price/ Cash Flow

40.0 M

15

Valuation Analysis

LTM-4Q 09/yy 6'352.2 8.84x 912.2 16.83x 454.5 33.88x

LTM 09/yy 7'716.2 7.82x 1'043.0 13.95x 438.3 31.42x

FY+1

1.42 0.56 1'870.46 -6.68% -5.10% 0.562 36 3.306 5'517'238 6'171'453 5'911'497 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 12/12 Q4 03/13 Q1 9'605.4 11'363.5 2'030.2 1.63x 1.36x 1'207.9 1'442.4 13.02x 10.90x 473.8 588.4 91.9 31.76x 25.11x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

05.06.2012 BBB+ STABLE 70.12 -39.63 -0.02 1.20 59.5% 31.8% 1.32 1.99 11.38 22.41 78.48 -38.75

Sales/Revenue/Turnover

8'000.0 7'000.0 6'000.0

0.80 0.60

5'000.0 4'000.0 3'000.0

0.40 0.20

2'000.0 1'000.0 0.0

0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Tingyi Cayman Islands Holding Corp Holdings By:

All

Holder Name SANYO FOODS CO LTD TING HSIN CAYMAN ISL CAPITAL WORLD INVEST OPPENHEIMERFUNDS INC CAPITAL RESEARCH GLO VANGUARD GROUP INC MATTHEWS INTERNATION FIDELITY MANAGEMENT BLACKROCK FUND ADVIS ARTIO GLOBAL MANAGEM JP MORGAN CHASE & CO ING-CHOU WEI GAM INTERNATIONAL MA AGF INVESTMENTS INC RCM CAPITAL MANAGEME MIRAE ASSET INVESTME SCHRODER KOREA LTD FIRST STATE INVESTME CAPITAL INTERNATIONA JPMORGAN ASSET MANAG

Firm Name

Portfolio Name n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Standard Chartered CHARLES YAN Nomura EMMA LIU EVA Dimensions TEAM COVERAGE Citic Securities Co., Ltd MOHAN SINGH Piper Jaffray ANSON CHAN Goldman Sachs LISA DENG ICBC International Securities ALEX CHENG DBS Vickers TITUS WU CLSA Asia Pacific Markets XIAOPO WEI Oriental Patron Securities Ltd LAWRENCE CHOR China International Capital Corp PAUL FEIYANG YUAN KGI Securities MICHELLE CHEN Jefferies JESSIE GUO Religare Capital Markets KA LEONG LO Capital Securities Corp TRACY SUN First Shanghai Securities Ltd CHRISTINA LIE BNP Paribas Equity Research CHARLIE Y CHEN Deutsche Bank MABEL WONG Macquarie GARY PINGE Bank of China International JENNY CHAN Kim Eng Securities JACQUELINE KO Guotai Junan SUNNY KWOK Mirae Asset Securities SELINA SIA Barclays Capital VINEET SHARMA Morgan Stanley ANGELA MOH Credit Suisse KEVIN YIN AMTD Financial Planning Limited KENNY TANG SING HING JPMorgan KURUMLU EBRU SENER Daiwa Securities Capital Markets Co. BING ZHOU RBS LEI YANG Citi JASMINE BAI Yuanta Securities Investment ConsultingTEAM COVERAGE SWS Research Co Ltd WANG HAITAO CIMB TEAM COVERAGE

Source Co File EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation outperform reduce underweight sell neutral Buy/Neutral hold hold underperform buy accumulate neutral hold buy hold hold buy hold underperform buy hold accumulate reduce equalwt/neutral Equalwt/Attractive restricted buy restricted buy hold neutral Under Review neutral underperform

Amt Held 1'854'827'866 1'854'827'866 106'963'000 96'134'000 86'020'000 72'310'878 54'193'000 27'540'000 24'638'000 19'113'495 13'404'000 13'242'000 12'524'000 11'693'578 9'234'000 8'767'000 6'884'000 6'646'000 6'264'000 5'552'000

% Out 33.18 33.18 1.91 1.72 1.54 1.29 0.97 0.49 0.44 0.34 0.24 0.24 0.22 0.21 0.17 0.16 0.12 0.12 0.11 0.1

Weighting

Change

5 2 1 1 3 5 3 3 1 5 4 3 3 5 3 3 5 3 1 5 3 4 2 3 3 #N/A N/A 5 #N/A N/A 5 3 3 #N/A N/A 3 1

M M U N M M M M M N M M M N M M M M M M M U M M M M N M M M D M M M

Latest Chg (4'948'500) (1'244'000) 329'910 (474'000) 20'000 (1'545'162) 1'506'000 (3'584'000) 514'300 (444'000) (3'694'000) 6'884'000 (504'000) -

Target Price 28 17 #N/A N/A 21 22 27 23 20 24 28 26 24 23 30 22 20 26 23 17 24 23 24 15 19 23 #N/A N/A 23 #N/A N/A 27 20 22 #N/A N/A 23 16

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 30.09.2011 Corporation 17.01.2012 Corporation 31.12.2011 Investment Advisor 29.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 30.12.2011 Investment Advisor 31.01.2012 Investment Advisor 08.03.2012 Investment Advisor 31.10.2011 Investment Advisor 31.01.2012 Investment Advisor 17.01.2012 n/a 31.10.2011 Investment Advisor 30.09.2011 Investment Advisor 31.01.2012 Investment Advisor 30.09.2011 Investment Advisor 30.09.2011 Mutual Fund Manager 31.10.2011 Mutual Fund Manager 30.11.2011 Investment Advisor 31.12.2011 Investment Advisor

Date 12 month Not Provided Not Provided 6 month 12 month 12 month Not Provided 12 month Not Provided 12 month 12 month 12 month 12 month 12 month 12 month 12 month 12 month 12 month 12 month Not Provided 12 month Not Provided 12 month Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided Not Provided 12 month

Date 09.03.2012 05.03.2012 05.03.2012 29.02.2012 27.02.2012 23.02.2012 06.02.2012 27.01.2012 06.01.2012 05.01.2012 31.12.2011 21.12.2011 20.12.2011 06.12.2011 18.11.2011 17.11.2011 16.11.2011 15.11.2011 15.11.2011 15.11.2011 15.11.2011 15.11.2011 15.11.2011 15.11.2011 14.11.2011 08.11.2011 07.11.2011 04.11.2011 26.10.2011 20.10.2011 17.10.2011 05.09.2011 24.08.2011 16.09.2010


27.02.2013

Want Want China Holdings Ltd Want Want China Holdings Limited manufactures and trades rice crackers, snack food, beverages, and packing materials. The Company also manufactures wheat, flour, and raw materials for the manufacture of snack foods. Most of the company's production facilities are located in China and Taiwan.

Price/Volume

Valuation Analysis Latest Fiscal Year: LTM as of: 52-Week High (05.11.2012) 52-Week Low (27.02.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.09.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 151 HK EQUITY YTD Change 151 HK EQUITY YTD % CHANGE

12/2011 06/yy 11.68 7.18 14'986'051.00 10.66 -8.73% 48.47% 76.44% 13'227.7 141'007.70 1'024.62 0.0 2.8 1'437.36 17'920.00

Total Revenue TEV/Revenue EBITDA TEV/EBITDA Net Income P/E

31.12.2008 31.12.2009 1'553.9 1'710.9 3.45x 5.22x 333.9 398.6 16.04x 22.39x 262.7 312.6 20.71x 29.60x Profitability

200.0 M 150.0 M 100.0 M 50.0 M .0 M a-11 m-11

LTM-4Q 31.12.2010 2'244.1 5.04x 500.1 22.63x 358.4 32.33x

EBITDA EBIT Operating Margin Pretax Margin Return on Assets Return on Common Equity Return on Capital Asset Turnover Margin Analysis Gross Margin EBITDA Margin EBIT Margin Net Income Margin Structure Current Ratio Quick Ratio Debt to Assets Tot Debt to Common Equity Accounts Receivable Turnover Inventory Turnover

31.12.2011 2'946.5 419.5 31.18x 594.04 521.74 17.71% 18.27% 16.64% 38.99% 21.01% 1.10% 34.8% 23.1% 19.3% 14.2% 1.39 1.05 32.80% 77.05% 44.48 4.92

Price/ Cash Flow

06/yy 0.0 #DIV/0! 0.0 0.00x 0.0 0.00x

j-11

j-11

a-11

LTM 06/yy 282.2 0.00x 0.0 0.00x 41.5 0.00x

s-11

o-11

n-11

d-11

j-12

f-12

FY+1

1.64 0.63 5'608.11 50.43% -0.19% 0.629 34 3.765 16'407'890 16'447'390 15'649'620 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 09/11 Q3 12/11 Q4 3'529.4 4'308.5 5.05x 4.12x 797.7 998.6 22.47x 17.95x 550.3 684.5 33.52x 26.94x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

56.76 35.42 -0.36 1.74 77.1% 43.5% 1.10 3.25 8.23 74.36 31.46 51.18

Sales/Revenue/Turnover

35.00

3'500.0

30.00

3'000.0

25.00

2'500.0

20.00

2'000.0

15.00

1'500.0

10.00

1'000.0

5.00

500.0

0.00 02.01.2009

250.0 M

Market Data Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

Fiscal Year Ended 31.12.2007 1'094.5 265.6 176.7 -

10 9 8 7 6 5 4 3 2 1 0 m-11

0.0 02.07.2009

02.01.2010

02.07.2010

02.01.2011

02.07.2011

02.01.2012

2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010 2011

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Want Want China Holdings Ltd Holdings By:

All

Holder Name ENG-MENG TSAI IWATSUKA CONFECTIONE MR BIG LTD VANGUARD GROUP INC FIDELITY MANAGEMENT OPPENHEIMERFUNDS INC WEN-HSIEN CHENG TSAI WANG-CHIA SHAO-CHUNG TSAI T ROWE PRICE ASSOCIA BLACKROCK FUND ADVIS CARMIGNAC GESTION WILLIAM BLAIR & COMP FIDELITY INTERNATION BLACKROCK GROUP LIMI COLUMBIA WANGER ASSE GUARDIAN INVESTOR SE JP MORGAN CHASE & CO DRIEHAUS CAPITAL MAN INVESCO LTD

Firm Name

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios WILLIAM BLAIR & COMP Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst

Standard Chartered CHARLES YAN Nomura EMMA LIU BOCOM International Holdings SUMMER WANG CLSA Asia Pacific Markets XIAOPO WEI Credit Suisse KEVIN YIN JPMorgan JESSICA HONG Capital Securities Corp TRACY SUN KGI Securities MICHELLE CHEN Macquarie GARY PINGE Bank of China International JENNY CHAN DBS Vickers TITUS WU Kim Eng Securities JACQUELINE KO China International Capital Corp PAUL FEIYANG YUAN SWS Research Co Ltd SEAN ZHANG Mirae Asset Securities SELINA SIA SinoPac VIVIEN CHAN ICBC International Securities ALEX CHENG RBS LEI YANG Morgan Stanley LILLIAN LOU Goldman Sachs LISA DENG Jefferies JESSIE GUO Citi JASMINE BAI Religare Capital Markets KA LEONG LO Piper Jaffray ANSON CHAN Barclays Capital VINEET SHARMA EVA Dimensions TEAM COVERAGE Citic Securities Co., Ltd RAYMOND LEUNG Yuanta Securities Investment ConsultingTEAM COVERAGE BNP Paribas Equity Research CHARLIE Y CHEN Everbright Securities Co., Ltd DONGLIANG CHANG Phillip Securities BING WANG CIMB TEAM COVERAGE

Source EXCH Co File EXCH MF-AGG MF-AGG MF-AGG EXCH EXCH Co File MF-AGG MF-AGG MF-AGG 13F MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation outperform neutral long-term buy buy neutral neutral hold neutral outperform hold hold buy hold outperform reduce neutral buy buy Overwt/Attractive neutral/neutral hold buy buy overweight equalwt/neutral hold overweight Under Review hold hold hold underperform

Amt Held 6'343'843'100 616'434'480 299'490'000 220'760'994 219'263'517 218'122'008 158'625'490 100'031'500 100'000'000 90'350'000 81'750'000 70'530'604 52'625'000 47'588'153 30'678'400 25'472'200 22'669'000 20'314'000 18'755'711 17'588'000

% Out 47.99 4.66 2.27 1.67 1.66 1.65 1.2 0.76 0.76 0.68 0.62 0.53 0.4 0.36 0.23 0.19 0.17 0.15 0.14 0.13

Weighting

Change

5 3 5 5 3 3 3 3 5 3 3 5 3 5 2 3 5 5 5 3 3 5 5 5 3 3 5 #N/A N/A 3 3 3 1

M M N M M M N M M M M M M M M M M M M M M U U M M U M M M N D M

Latest Chg (100'000'000) 1'644'466 (19'216'992) 10'500 (29'698'000) 49'000 (1'469'396) 28'276'000 37'198'153 (1'171'000) (404'000) (1'594'000) 2'148'000

Target Price 10 8 10 10 8 7 9 8 10 8 7 9 7 9 7 8 9 9 8 8 7 9 9 9 7 #N/A N/A 8 #N/A N/A 6 7 7 5

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 06.08.2011 n/a 31.03.2011 Corporation 13.02.2012 n/a 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 29.12.2011 Investment Advisor 13.02.2012 n/a 01.04.2011 n/a 31.12.2010 n/a 31.12.2011 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Investment Advisor 30.09.2011 Investment Advisor 30.12.2011 Investment Advisor 08.03.2012 Investment Advisor 30.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 30.12.2011 Hedge Fund Manager 09.03.2012 Investment Advisor

Date 12 month 12 month 12 month Not Provided Not Provided 9 month 12 month 12 month 12 month Not Provided 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided 12 month 12 month 12 month 12 month Not Provided 12 month 12 month Not Provided Not Provided 6 month Not Provided 12 month 6 month 12 month 12 month

Date 09.03.2012 09.03.2012 09.03.2012 08.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 07.03.2012 06.03.2012 06.03.2012 06.03.2012 06.03.2012 06.03.2012 06.03.2012 06.03.2012 06.03.2012 05.03.2012 17.11.2011 05.09.2011 26.08.2011 21.07.2011 17.03.2011 16.09.2010


27.02.2013

Wharf Holdings Ltd The Wharf Holdings Limited, through its subsidiaries, develops and invests in real estate properties. The Company also owns and manages hotels and operates logistics business. In addition, the Wharf operates telecommunication business, cable television and Internet-related businesses.

Price/Volume 70

20.0 M 18.0 M 16.0 M 14.0 M 12.0 M 10.0 M 8.0 M 6.0 M 4.0 M 2.0 M .0 M

60 50 40

Valuation Analysis

30

Latest Fiscal Year: LTM as of: 52-Week High (01.02.2013) 52-Week Low (04.06.2012) Daily Volume Current Price (2/dd/yy) 52-Week High % Change 52-Week Low % Change % 52 Week Price Range High/Low Shares Out 30.06.2012 Market Capitalization Total Debt Preferred Stock Minority Interest Cash and Equivalents Enterprise Value Relative Stock Price Performance 4 HK EQUITY YTD Change 4 HK EQUITY YTD % CHANGE

12/2011 09/yy 71.00 39.00 4'124'755.00 66.1 -6.90% 69.49% 79.06% 3'029.2 200'233.25 75'993.00 0.0 7'617.0 32'528.00 261'289.24

10 0 m-11

Fiscal Year Ended

LTM-4Q

j-11

LTM

09/yy 0 #DIV/0! 0.0 0.00x 0.0 0.00x

a-11

09/yy 3'964 0.00x 0.0 0.00x 3'117.0 0.00x

s-11

o-11

n-11

d-11

j-12

f-12

FY+1

1.74 1.18 1'483.21 44.92% 9.08% 1.178 21 4.238 4'324'754 4'419'685 4'374'310 FY+2

FQ+1

FQ+2

12/12 Y 12/13 Y 12/11 Q4 03/12 Q1 32'111 32'925 8.23x 8.13x 16'434.0 16'612.4 15.90x 15.73x 10'718.6 11'410.3 18.77x 17.67x S&P Issuer Ratings

Long-Term Rating Date Long-Term Rating Long-Term Outlook Short-Term Rating Date Short-Term Rating Credit Ratios EBITDA/Interest Exp. (EBITDA-Capex)/Interest Exp. Net Debt/EBITDA Total Debt/EBITDA Reference Total Debt/Equity Total Debt/Capital Asset Turnover Net Fixed Asset Turnover Accounts receivable turnover-days Inventory Days Accounts Payable Turnover Day Cash Conversion Cycle

22.06.2010 NR 9.66 0.35 3.40 4.61 37.4% 26.5% 0.11 0.16 9.63 -

Sales/Revenue/Turnover

25'000.0

1.00

20'000.0

0.60

j-11

Market Data

1.20

0.80

a-11 m-11

Dividend Yield Beta Equity Float Short Int 1 Yr Total Return YTD Return Adjusted BETA Analyst Recs Consensus Rating Average Daily Trading Volume Average Volume 5 Day - Average Volume 30 Day - Average Volume 3 Month

31.12.2007 31.12.2008 31.12.2009 31.12.2010 31.12.2011 Total Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/Revenue #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... EBITDA #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... TEV/EBITDA#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Net Income#N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... P/E #N/A Requesting #N/A Data...Requesting#N/A Data... Requesting#N/A Data... Requesting#N/A Data... Requesting Data... Profitability EBITDA 12'395.00 EBIT 11'000.00 Operating Margin 45.83% Pretax Margin 144.31% Return on Assets 12.96% Return on Common Equity 19.41% Return on Capital 14.93% Asset Turnover 0.11% Margin Analysis Gross Margin EBITDA Margin 48.2% EBIT Margin 43.8% Net Income Margin 127.3% Structure Current Ratio 2.73 Quick Ratio 1.09 Debt to Assets 23.90% Tot Debt to Common Equity 37.39% Accounts Receivable Turnover 38.02 Inventory Turnover Price/ Cash Flow

20

15'000.0 10'000.0

0.40

5'000.0 0.20

0.0 0.00

1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |


27.02.2013

Wharf Holdings Ltd Holdings By:

All

Holder Name WF INVESTMENT PARTNE LYNCHPIN LTD JP MORGAN CHASE & CO FIDELITY INTERNATION BLACKROCK FUND ADVIS THIRD AVENUE MANAGEM VANGUARD GROUP INC GAM INTERNATIONAL MA STATE STREET GLOBAL BLACKROCK INVESTMENT FIDELITY MANAGEMENT BLACKROCK GROUP LIMI COHEN & STEERS CAPIT AGF INVESTMENTS INC BLACKROCK ADVISERS MORGAN STANLEY FIDELITY INVESTMENTS INVESCO LTD GENERAL ELECTRIC COM TIAA CREF INVESTMENT

Firm Name Citi Deutsche Bank Goldman Sachs Morgan Stanley Mirae Asset Securities Standard Chartered JPMorgan Nomura EVA Dimensions DBS Vickers UOB Kay Hian CLSA Asia Pacific Markets Credit Suisse Daiwa Securities Capital Markets Co. Macquarie HSBC CCB International Securities Ltd Jefferies

Portfolio Name n/a n/a n/a Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios Multiple Portfolios

Analyst ANIL DASWANI KAREN TANG SIMON CHEUNG PRAVEEN K CHOUDHARY KEITH YEUNG JOHN Y F CHAN AMY LUK PAUL LOUIE TEAM COVERAGE JEFF YAU SYLVIA WONG SUSANNA LEUNG CUSSON LEUNG JONAS KAN CALLUM BRAMAH STEPHEN WAN EDMOND CHAN JULIAN BU

Source EXCH EXCH EXCH MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG MF-AGG

Recommendation buy hold Buy/Neutral Overwt/In-Line buy outperform neutral neutral buy buy sell buy outperform buy outperform overweight outperform buy

Amt Held 1'302'017'536 213'267'072 152'746'812 30'049'314 23'497'987 16'715'789 14'499'364 13'829'100 13'539'683 10'551'991 8'396'585 7'366'134 7'126'053 6'879'898 6'058'347 6'023'587 5'846'000 4'762'437 4'432'743 4'264'462

% Out 42.98 7.04 5.04 0.99 0.78 0.55 0.48 0.46 0.45 0.35 0.28 0.24 0.24 0.23 0.2 0.2 0.19 0.16 0.15 0.14

Weighting

Change 5 3 5 5 5 5 3 3 5 5 1 5 5 5 5 5 5 5

M D M M M M M M M M D U M M M U M M

Latest Chg (2'545'904) (25'000) (13'061'000) 225'847 1'372'201 (52'900) 53'000 (5'000) 887'100 873'780 216'200 (542'498) (163'625) 252'675 22'000

Target Price 54 49 56 44 56 50 44 49 #N/A N/A 47 32 47 46 57 61 50 58 60

Q.M.S Advisors | tel: +41 (0)78 922 08 77 | e-mail: info@qmsadv.com |

File Dt Inst Type 25.07.2011 n/a 25.07.2011 n/a 29.07.2011 Investment Advisor 30.12.2011 Investment Advisor 08.03.2012 Investment Advisor 31.10.2011 Hedge Fund Manager 31.12.2011 Investment Advisor 31.01.2012 Investment Advisor 30.06.2011 Investment Advisor 30.11.2011 Investment Advisor 31.01.2012 Investment Advisor 08.03.2012 Investment Advisor 08.03.2012 Investment Advisor 30.09.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2011 Investment Advisor 31.12.2010 Mutual Fund Manager 09.03.2012 Investment Advisor 31.12.2011 Corporation 31.01.2012 Investment Advisor

Date Not Provided 12 month 12 month 12 month 12 month 12 month 12 month Not Provided Not Provided 12 month Not Provided Not Provided Not Provided Not Provided 12 month Not Provided Not Provided 12 month

Date 07.03.2012 01.03.2012 27.02.2012 22.02.2012 22.02.2012 18.02.2012 16.02.2012 13.02.2012 31.01.2012 27.01.2012 19.01.2012 09.01.2012 05.01.2012 03.01.2012 22.11.2011 20.11.2011 26.08.2011 25.08.2011


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